ImageMark Transaction Manager 4.2 - Susan E. Smith
Transcription
ImageMark Transaction Manager 4.2 - Susan E. Smith
ImageMark Transaction Manager 4.2 System Administration B004-0000-0609 December 1, 2006 The product described in this book is a licensed product of NCR Corporation. Other brand and product names appearing in this publication are the trademarks or registered trademarks of their respective holders. It is the policy of NCR Corporation (NCR) to improve products as new technology, components, software, and firmware become available. NCR, therefore, reserves the right to change specifications without prior notice. All features, functions, and operations described herein may not be marketed by NCR in all parts of the world. In some instances, photographs are of equipment prototypes. Therefore, before using this document, consult with your NCR representative or NCR office for information that is applicable and current. To maintain the quality of our publications, we need your comments on the accuracy, clarity, organization, and value of this book. Address correspondence to: NCR Waterloo Attention: Information Engineering 580 Weber Street North P.O. Box 1611 Waterloo, Ontario, Canada N2J 4G5 Copyright © 2006 By NCR Corporation Dayton, Ohio U.S.A. All Rights Reserved Contents Preface . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 About this Book . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 Who this Book is For . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 How this Book is Organized . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 Conventions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 9 Related Information . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 10 Site-Specific Procedures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11 Revision Record . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 13 Chapter 1: Start-of-Cycle Procedures . . . . . . . . . . . . . . . . . . . . . . . . . . 15 Exporting Suspense Items to the Archive . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Archiving Report Files . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Check System Messages . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Storage Spaces . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Free a Storage Space . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Initialize a Storage Space . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Associate Cycles . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Opening a Freed Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 16 17 18 19 20 21 22 23 23 Chapter 2: Application Manager . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 25 Starting Application Manager . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Workload . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Workload by Operator Activity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Workload by Unit-of-Work Type . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Workflow Interactions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Cycles . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Adding a New Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Opening a New Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Opening an Existing Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Removing a Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Modifying Cycles . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Changing a Cycle’s State . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Modifying a Cycle’s Attributes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ImageMark Transaction Manager 4.2 System Administration 26 28 28 35 43 45 45 46 47 47 48 48 51 3 Contents Managing Cycle Deadlines . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Invalid Posting Dates . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Exporting Suspense Pool Items . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Exporting IQ Rejects . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Aging Out Second Source . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Modifying Entries . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Changing the Host Entry Number . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing the SuperMICR Job Number . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Moving an Entry to a Different Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Exporting Entries . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Image Quality Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing the Print Spooler . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Redirecting Reports to Print Spooler . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Deleting Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Redirecting Reports Back to Printer . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Activities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Activities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Loading Activities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Shutting Down Activities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Unloading Activities . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Reassigning a Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Reassigning a Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Restoring a Station to its Original Station Group . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Implementing Parameter and Environment Variable Changes . . . . . . . . . . . . . . . . . . . . . . . . . . . Stopping an Auto-Activity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Restarting an Auto-Activity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Server Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Server Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Changing Server Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . External Capture Station Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing External Capture Station Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Changing the External Capture Station Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Application Instances . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Loading an Instance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Unloading an Instance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Work Export Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Export Log . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Export Details . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Import Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Import Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Changing the Cycle Number of Import File . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Retrying Files and Reloading Work . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Ignoring Import Files . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Displaying File Details . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Archive Status . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Second Source Matching . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Second Source Processing Information . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Resubmitting Work to SMM . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Pushing Work Past SMM . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Enabling Shuffle Mode . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Disabling Shuffle Mode . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 4 52 53 55 55 56 57 57 58 59 60 62 64 64 66 68 68 69 71 71 72 72 73 74 74 76 77 77 77 78 78 78 79 79 80 81 81 84 85 85 86 87 87 88 88 89 90 91 93 93 95 95 95 96 ImageMark Transaction Manager 4.2 System Administration Contents Viewing Item Images . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 96 Holding Work . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 97 Workflow Diagrams . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 98 Chapter 3: Configuration Manager . . . . . . . . . . . . . . . . . . . . . . . . . . . . 103 Starting Configuration Manager . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 104 Process Overview . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 105 The Order for Configuring . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 105 Adding and Modifying a Station Group . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 106 Planning Station Groups . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 106 Viewing Station Groups . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 108 Adding a Station Group . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 108 Modifying a Station Group . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 109 Removing a Station Group . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 110 Adding and Modifying a Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 111 Adding a Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 112 Modifying a Station's Attributes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 114 Switching EPUs or ESUs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 117 Removing a Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 119 Managing Storage Spaces . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 120 Storage Space Manager Security . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 121 Initializing a Storage Space . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 122 Freeing a Storage Space . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 124 Excluding a Server in a Storage Space . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 126 Monitoring the State of Storage Spaces . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 127 Adding and Removing Application Software . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 128 Configuring Software by Package . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 128 Configuring Software by Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 131 Adding and Removing Parameter Sets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 133 Notes on Adding Parameter Sets . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 133 Configuring Parameter Sets by Package . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 134 Configuring Parameter Sets by Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 138 Chapter 4: Access Security Manager . . . . . . . . . . . . . . . . . . . . . . . . . 143 Starting Access Security Manager . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing User Workgroups . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Workgroups . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Creating a Workgroup . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Modifying a Workgroup . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Deleting a Workgroup . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing User Accounts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Creating a User Account . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Modifying a User Account . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Deleting a User Account . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . User Passwords and Security Procedures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing User Permissions . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Assigning Permissions by User . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Assigning Permissions by Activity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Removing Permissions by User . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Removing Permissions by Activity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ImageMark Transaction Manager 4.2 System Administration 144 145 145 146 146 147 148 148 150 151 151 152 152 154 156 157 5 Contents Chapter 5: Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 159 Changing Reporting Periods . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Example . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . How To Change Reporting Periods . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Starting Reports Utility . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Automatically Printing or Saving Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Manually Printing End-of-Cycle Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Manually Printing Operator Performance Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Deleting Generated Reporting Periods for Operator Statistics . . . . . . . . . . . . . . . . . . . . . . . Viewing Print Jobs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Cancelling Print Jobs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing End-of-Cycle Reports After the End of the Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Reports Before the End of the Cycle . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Auto-Activity Reports on Request . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Entry Item Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Tray Set Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . If the Printer Fails . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing ATM Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Matched Records Only . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . End-of-Cycle Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Adjustment Summary Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Amount Suspect Summary Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ATM Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Audit Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Automatic Codeline Completion Statistics Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . BIE, EIE, and SIE Deadline Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . BTM Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Bundle List Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Daily Corrections Export Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . EPU Exception Item Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Forced Adjustment Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Image Quality Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Items Aged Out Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Items Not Received Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Items Pull Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Non-Negotiable Items Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Pocket Listing Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recognition Performance Statistics . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Second Source Match and Merge Performance Summary Report . . . . . . . . . . . . . . . . . . . . Truly Missing and Free Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . User Permission and Login Information Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Operator Performance Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ECU Transport Performance Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . EPU and ESU Transport Performance Statistics . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Image Quality Review Performance Summary Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Operator Statistics . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Reconciliation Operator Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Resource Allocation Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Auto-Activity Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Entry Item Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 6 160 161 163 164 165 165 166 168 170 171 173 173 174 174 176 178 180 180 180 181 182 183 183 184 185 193 194 196 200 201 206 208 209 211 211 212 213 213 215 219 219 220 221 221 222 224 225 237 240 241 241 ImageMark Transaction Manager 4.2 System Administration Contents Tray Set Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ATM Reports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . MIE Exception Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing the Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Report Contents . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 249 253 254 254 254 Chapter 6: System Maintenance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 257 Managing ImageMark Transaction Manager Hardware . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Powering Off the Hardware . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Powering On the Hardware . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing the System Environment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Perl Script Interpreter . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Active Directory . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Organizational Units . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ImageMark Transaction Manager Access Security . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing ImageMark Transaction Manager Accounts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Password Registry Settings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Supporting Different Active Directory Organizational Units . . . . . . . . . . . . . . . . . . . . . . . . . . Domain Security Requirements . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Integrating the Distributed Capture Consolidation Server . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing the Recognition Sub-System . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Restarting the Recognition Sub-System . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Testing the Recognition Unit . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing and Modifying System Capacity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Capacity Settings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Modifying Capacity Settings . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Running the Set Stale Date Script with Task Scheduler . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Setting Up a Set Stale Date Script for a Regular Environment . . . . . . . . . . . . . . . . . . . . . . . Setting Up a Set Stale Date Script for a Time-of-Day Sort Environment . . . . . . . . . . . . . . . . Advice Notice Export Utility . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Configuring Your System . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . File Location and Naming . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Adding Printers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Resetting the System Date and Time . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Procedures for Distributed Capture . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Validating Cycles . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Replacing Corrupt EIPS Files on the DS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Changing Host Entry # for a Duplicate Host Entry . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Cleaning Up Capture Files on the DS . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Cleaning Up Files on the Transports . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Administration Tasks for a Server Cluster . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . ImageMark Package Version Monitoring . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Setting Up Diagnostic Alerts for a Server Cluster . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Starting and Stopping ImageMark Services . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Managing Scheduled Tasks . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 258 258 259 260 260 260 261 262 262 268 269 269 270 271 271 272 273 273 273 275 276 278 280 280 282 284 285 286 286 287 288 290 291 292 292 293 295 296 Chapter 7: Backup, Restore, and Recovery Procedures . . . . . . . . . . . 297 Creating a Backup of Stations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Creating a Backup of File Systems . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Resending Work to the Host Application . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Resending a String Using a Different Host Cycle Number . . . . . . . . . . . . . . . . . . . . . . . . . . ImageMark Transaction Manager 4.2 System Administration 298 299 300 300 7 Contents Recovering from a Lost BIE Entry on the Host . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recovering from a Lost SIE Transmission to the Host . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recovering from a Lost EIE Entry on the Host . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recovering from Duplicate Entry Numbers . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recovering from Duplicate CPCS Entry Number . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recovering from Duplicate SuperMICR Entry Number . . . . . . . . . . . . . . . . . . . . . . . . . . . . . File Recovery for IDT and TSS Workstations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Restarting Host Link . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Performing a Restore of Stations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Importing the BAP Databases . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 301 303 305 311 311 311 312 313 315 315 Chapter 8: Troubleshooting . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 317 Starting Diagnostics . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Filtering Messages . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Filtering Messages by Date . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Filtering Messages by Type . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Filtering Messages by Station . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Filtering messages by Time . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Viewing Message Details . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Summary Content . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Displaying More Details . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Acknowledging Messages . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Printing Messages . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Configuring Notification . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Troubleshooting Freeing and Initialization . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Reading Capture Error Log Files . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Where to Find ImageMark Transaction Manager Error Log Files . . . . . . . . . . . . . . . . . . . . . Reading Error Log Files . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Severity Codes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Troubleshooting with Error Messages . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . If a Recognition Sub-System Fails . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Placing CAR Auto-Activity Into Shuffle Mode . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Placing CAR Auto-Activity in Normal Mode . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Identifying SMM Problems . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . If an Activity or Auto-Activity Fails Spontaneously . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Emergency Recovery Procedures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Start-of-Day Backup and Archive Failures . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Emergency Logical Log Backup . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Recovering from a System Failure . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 318 319 319 319 319 320 321 321 321 323 324 325 326 327 327 327 330 330 332 332 334 335 337 338 338 338 339 Appendix A: Report Samples . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 341 End-of-Cycle Report Samples . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Operator Performance Report Samples . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . Auto-Activity Report Samples . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . MIE Exception Report . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 342 391 407 424 Index . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 439 8 ImageMark Transaction Manager 4.2 System Administration Preface About this Book This book tells you how to manage the ImageMark Transaction Manager software application. This book includes instructions on daily start-up procedures, managing workflow, printing and interpreting reports, managing stations, managing users, installing and configuring components, and troubleshooting. Who this Book is For This book is intended for system administrators, supervisors and anyone else responsible for managing the day-to-day operations of a system. It assumes that you have attended the ImageMark Transaction Manager System Administration course. This book also assumes that you are familiar with over-the-counter proof-of-deposit operations as well as with the operations described in the ImageMark Transaction Manager Operations course. You also need to be familiar with administering Windows systems and with the CPCS or SuperMICR mainframe check processing system. How this Book is Organized This book has the basic and most frequently used tasks first, such as the start-of-day procedures. Following these are chapters that outline the step-by-step procedures of how to use various utilities to do basic tasks. Less frequent administrative tasks are covered in later chapters of the book. Conventions Within the procedures described in this book, conventions help you to identify different types of information. Bold Bold identifies anything you must select, choose, run, press, or type. For example: Type dbscrpt, then press Enter. ImageMark Transaction Manager 4.2 System Administration 9 Preface Chevrons Chevrons (>) indicate a series of menu selections. For example: Choose File > Import > Formats. Italics Italics identify a placeholder that must be replaced with your own specific information. For example: device=c:\path\7780mint.sys type=H. Italics are also used for emphasis. Notes, Tips, Important, Cautions, Warnings Notes, cautions, and warnings alert you to important or critical information. Each is displayed in a different way: Note: Notes contain information that has special importance. * Tip: Tips contains useful advice for the user on tasks or procedures. ! Important: Important text contains information to which the reader should pay close attention. Caution: Cautions alert you to procedures or conditions that could damage equipment or data. Warning: Warnings alert you to procedures or conditions that could cause personal injury. Related Information To administer an ImageMark Transaction Manager system, you may need, in addition to this book, the following ImageMark Transaction Manager publications: 10 ! ImageMark Transaction Manager 4.2 Parameter Generation: Application Generator ! ImageMark Transaction Manager 4.2 Parameter Generation: ASCII Files ! ImageMark Transaction Manager 4.2 Parameter Generation: Host Emulator ImageMark Transaction Manager 4.2 System Administration Preface Site-Specific Procedures Like every other ImageMark Transaction Manager system, your system has been customized to meet site-specific requirements. Hence, some of the procedures in this book may have to be adapted to meet your site’s needs. In addition, to meet your site’s specific requirements, you may have to carry out other system administration procedures that fall outside the scope of this book. ImageMark Transaction Manager 4.2 System Administration 11 Preface 12 ImageMark Transaction Manager 4.2 System Administration Revision Record Document Title ImageMark Transaction Manager 4.2 System Administration December 1, 2006 Page No. Remarks All First release for ImageMark Transaction Manager 4.2. ImageMark Transaction Manager 4.2 System Administration 13 Revision Record 14 ImageMark Transaction Manager 4.2 System Administration 1 Start-of-Cycle Procedures To prepare your system so that operators can process documents, follow the procedures outlined in this chapter: ! Export the suspense items to the archive (Repass Capture only). ! Print the previous work cycle’s reports. ! Archive the report and other files, if your site requires. ! Check for messages in Diagnostics. ! Free a storage space. ! Initialize the storage space. ! Associate the cycles you wish to use in the storage space. ! Start your new work cycle. Note: To carry out the procedures in this chapter, and many of your other tasks, you must have an ImageMark Transaction Manager administrator user account (imadmin) on the Base Application Processor (BAP). Unless otherwise stated, procedures assume that you are logged on to the BAP as imadmin. ImageMark Transaction Manager 4.2 System Administration 15 Chapter 1: Start-of-Cycle Procedures Exporting Suspense Items to the Archive Exporting Suspense Items to the Archive For Repass Capture processing, you may need to archive the items in the Suspense Pool before the system is reinitialized (otherwise the data in the databases will be lost and there will be no record of the physical item in the database). Use Application Manager to export Suspense Pool items to the archive. See “Exporting Suspense Pool Items” on page 55. 16 ImageMark Transaction Manager 4.2 System Administration Chapter 1: Start-of-Cycle Procedures Printing Reports Printing Reports To print the required reports for the previous day’s work: 1 Open Application Manager. 2 Choose View > Work In Progress. The system displays the Work In Progress dialog. Work in Progress Dialog 3 You can use the Interaction filter to ensure that all units of work are At End. If any units of work have not completed workflow, locate where the work is held up. See “Managing Workload by Unit-of-Work Type” on page 35 and “Managing Activities” on page 71. 4 Ensure the state of the cycles containing the work are set to “End”. To change the cycle state, see “Changing a Cycle’s State” on page 48. 5 Use the Report utility to print the reports required for your site. See Chapter 5, “Reports”. ! If your site makes use of the Automatic Report Print utility, simply open the Report utility and choose File > Automatic Print. ImageMark Transaction Manager 4.2 System Administration 17 Chapter 1: Start-of-Cycle Procedures Archiving Report Files Archiving Report Files Archive the report files that your site policy requires. For example, you may need to archive some or all of the End-of-Cycle reports that ImageMark Transaction Manager saves to the %IMAGEMARK_ROOT%\opt\siips\archive directory on the BAP. ! 18 Important: The disk space allocated for the %IMAGEMARK_ROOT%\opt\siips\archive directory on the BAP is not automatically cleaned up. You should clean this directory regularly so that there is enough space for reports. ImageMark Transaction Manager 4.2 System Administration Chapter 1: Start-of-Cycle Procedures Check System Messages Check System Messages Check for system messages in case problems arose from the previous work cycle: 1 In Task Manager, choose Diagnostics from the Utilities list. The system displays the Diagnostics window. 2 Acknowledge all outstanding messages and take the suggested corrective action. See Chapter 8, “Troubleshooting,” for more information on handling error messages. 3 Minimize Diagnostics. If error messages are received during the day, this icon will flash and beep to alert you. A Messages button in the Diagnostics window will also flash to alert you of new messages. 4 Return to Application Manager. 5 Keep the Application Manager window open throughout the day to monitor and manage workflow, as described in Chapter 2, “Application Manager.” ImageMark Transaction Manager 4.2 System Administration 19 Chapter 1: Start-of-Cycle Procedures Storage Spaces Storage Spaces A storage space is a place on the system where all the work carried out by ImageMark Transaction Manager is stored. It is an administration tool that provides a virtual re-usable container for the logical grouping of production data spanning multiple databases across all servers (BAP/DAP/DS) in the system. A specific storage space contains all production information related to any cycles assigned to it, and it provides a mechanism to retain or delete that entire set of data as required by the bank. Before you can begin a new work cycle, you must ensure there is space on the system to store the new work. To make space on the system, a storage space must be free of any previously completed work and must be initialized so it can process the new work. The freeing and initialization processes are supported by two or more storage spaces on the system. To utilize space on the system, proceed in one of the following ways as you see appropriate: 20 ! Initialize a storage space that is not in use and is marked with a status of “Free”. See “Initialize a Storage Space” on page 22. ! Free a storage space from a previously completed work session to make room for the new work cycle session. See “Free a Storage Space” on page 21. ImageMark Transaction Manager 4.2 System Administration Chapter 1: Start-of-Cycle Procedures Free a Storage Space Free a Storage Space When you free a storage space, you also free the cycles associated with the storage space. To free a storage space, ensure that the cycles associated with the storage space have a status of “End”. If they do not, set the cycle to the “End” state using Cycle Manager. See “Ending a Cycle” on page 50 for instructions. Free the storage space using Storage Space Manager. See “Freeing a Storage Space” on page 124 for instructions on how to so this. When the storage space has been successfully freed, its state will change to “Free”. Once a storage space has been freed, you can initialize the storage space. See “Initialize a Storage Space” on page 22. If freeing fails and continues to fail, see “Troubleshooting Freeing and Initialization” on page 326 for troubleshooting information. ImageMark Transaction Manager 4.2 System Administration 21 Chapter 1: Start-of-Cycle Procedures Initialize a Storage Space Initialize a Storage Space When you initialize a storage space, you are enabling the storage space to receive work. If a storage space is marked with a status of “Free”, it is ready to be initialized at any time. To initialize a storage space, see “Initializing a Storage Space” on page 122. When the storage space has been successfully initialized, its state will change to “Initialized”. Note: In Cycle Manager, you will notice that the cycles you freed from the storage space are marked with a status of “Free”. You can associate these cycles with your storage space. If initialization fails and continues to fail, see “Troubleshooting Freeing and Initialization” on page 326 for troubleshooting information. 22 ImageMark Transaction Manager 4.2 System Administration Chapter 1: Start-of-Cycle Procedures Associate Cycles Associate Cycles When the storage space has been initialized, associate (or add) the cycles you want to use in your session with the storage space. When you free a storage space, cycles previously associated with the storage space are disassociated from the storage space and freed of any previous data, as marked with a status of “Free” in Cycle Manager. Once your storage space has been initialized, you can associate (or add) the cycles of your choice to the available or “Initialized” storage space. Note: You can also add new cycles to the storage space at any time when more cycles are needed. If you already have cycles that are free in the storage space, reuse them to keep the Storage Space Manager from becoming cluttered with unused cycles. To add cycles to a storage space, see “Adding a New Cycle” on page 45. If you have added a new cycle, it must also be opened. For instructions, see “Opening a New Cycle” on page 46. Opening a Freed Cycle In order to use the freed cycles, they must be opened and modified. To open an existing cycle: 1 Choose Cycle > Manager.... The system displays the Cycle Manager dialog. The Cycle Manager lists the cycles and their status in the system. Note: You can only open a cycle that has a “Free” status. Cycle Manager Dialog 2 Select the cycle from the list, and choose Open.... ImageMark Transaction Manager 4.2 System Administration 23 Chapter 1: Start-of-Cycle Procedures Associate Cycles The system displays the Open Cycle dialog. Note: The cycle number cannot be modified as the cycle already exists and is only being opened. Open Cycle Dialog 3 Set the date in the Posting date field to today’s date, or to the appropriate posting date. 4 Set the deadline in the Posting deadline field to the desired time. 5 Select the storage space you want to store the cycle in from the Storage space list box. 6 Select a region name from the list box if different from the current setting. 7 Choose OK. The cycle is opened and ready to receive work. You may now begin your work session. If you want to run the new cycle session from another instance of the application, see “Starting Application Manager” on page 26. 24 ImageMark Transaction Manager 4.2 System Administration 2 Application Manager This chapter describes how to use Application Manager to manage the flow of documents and data through the system. The chapter describes how to start Application Manager and how to use Application Manager to accomplish the following tasks: ! manage the flow of work through the system ! manage cycles ! manage report printing ! manage the system activities running on the stations ! reassign workstations to balance workload, reduce bottlenecks, and make processing more efficient ! manage application instances ImageMark Transaction Manager 4.2 System Administration 25 Chapter 2: Application Manager Starting Application Manager Starting Application Manager To start Application Manager: 1 In Task Manager, choose Application Manager from the Utilities list. The system displays the Application Manager window. Application Manager Window 2 Choose Application > Display.... The system displays the Display Application dialog. Display Application Dialog 3 From the Loaded copies of application list, select the application instance that you want to display. The system updates the Application Status buttons to show whether this copy is currently Active or Inactive. 4 26 Choose OK. ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Starting Application Manager The system opens the Application Display window with the name of this application instance displayed in the title bar. Application Display Window ImageMark Transaction Manager 4.2 System Administration 27 Chapter 2: Application Manager Managing Workload Managing Workload Once you have an Application Display window open on your running copy of ImageMark Transaction Manager, you can open two different windows that let you view and manage workload either by activity (Codeline Completion, Amount Keying, and so on) or by unit-of-work (entry, tray set, and so on). Managing Workload by Operator Activity To manage workload by activity, choose View > Load. The system displays the Load dialog. Load Dialog The Load dialog shows how much work is waiting to be processed or is being processed at each of the operator-based activities. You can use this information to identify bottlenecks and balance resources to match workloads. The Load dialog is divided into four separate tabs: 28 ! Summary ! Operators ! Volume ! Completion ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Notes: ! The Summary, Operators and Completion tabs present special information for the autoassigned activities. By default, the auto-assigned activities are Codeline Completion, Amount Keying, Balancing and Expert Balancing; however, during system configuration, auto-assign can be turned off for one or more of these activities and turned on for additional activities. ! Parameters control the display of the Load dialog. Unused roles can be suppressed from appearing in the Load dialog by changing parameters in the MANAGE_LOAD_PARMS keyword. Conversely, roles can also be extended to appear in the Load display by changing the parameters in the EXT_MANAGE_LOAD_PARMS keyword. For more information, see ImageMark Transaction Manager Parameter Generation: ASCII Files. However, if work is available at a role, that role will show up regardless of your site’s parameter settings. ImageMark Transaction Manager 4.2 System Administration 29 Chapter 2: Application Manager Managing Workload Summary Tab The Summary tab provides the following information for all activities (except Advice Notice), including remote activity types: ! Volume: the number (in thousands) of documents being processed or waiting to be processed ! Throughput: the rate (in thousands per hour) at which documents are currently being processed ! Operators: the number of operators working at each of the activities Note: Remote activity types listed on this screen begin with the letter R (e.g., Remote Expert Balancing is listed as REBAL). In addition, the Summary tab shows the following information for the auto-assigned activities: ! Optimal: the optimal distribution of operators across the keying activities given current resources and queued volumes of work at the roles For Advice Notices, the Summary tab provides the following information: ! Total: the current number of advice notices in the system ! Printed: the number of those notices that have been printed Select any activity to display detailed operator information in the window on the right: ! Operator name and keying rate for keying activities ! Station name, operator name and throughput for other activities Summary Tab 30 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Workload Indicators (+) and (-) indicators in the Optimal column can be very helpful for managing workload. ! (+): You may want to move operators to this activity from other activities to process the work more quickly. For example, (+3) means three more operators are required. ! (-): You may be able to move operators from this activity to another one where work is being processed too slowly. For example, (-1) means one operator is available for reassignment. Note: These indicators are designed only to give you a general idea of where bottlenecks may be occurring and where extra resources may be available. You must still rely on your own experience and judgment when deciding how to deploy resources and balance workload. Identifying Bottlenecks The volume statistics in the Load dialog can also help you to identify the causes of bottlenecks. To make the most of this information, you must also apply what you learned about workflow in your ImageMark Transaction Manager System Administration course. Suppose, for example, that the Load dialog shows an unusually large volume of work accumulating for Codeline Completion operators. Knowing that the Recognition Subsystem lies upstream from CLC in the workflow, you may want to check whether the Recognition Subsystem in this workgroup has failed. ImageMark Transaction Manager 4.2 System Administration 31 Chapter 2: Application Manager Managing Workload Operators Tab The Operators tab provides the following information on operators currently signed onto an autoassigned activity: ! the activity name with the current throughput for the activity in parentheses ! Operator: a list of operators at each activity with an indicator beside operators whose stations are currently idle ! Rate: the workflow throughput for the activity, in documents per minute (based strictly on batch size throughput, not item keying rate) ! Total: the total number of operators at each activity with the maximum number of operators that the system will recommend to you for a given activity (you can set this value based on the number of operators available) ! the system's recommendation on whether to add or remove operators (to improve overall system efficiency) Select an operator to display more detailed information about that operator. This pop-up dialog includes operator login, operator ID, operator display name, name of station currently logged into, session start time, and effective throughput for the current activity and for the other auto-assigned activities that the operator has performed. Operators Tab 32 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Volume Tab The Volume tab displays the following information: ! a graph that shows the volume of work (in thousands of items) at each activity ! Count: the number of units-of-work at each activity ! Value: the dollar value of the work at each activity in $1000’s of dollars You can narrow your view by setting the following filters: ! Entry Number: view work according to its entry number ! Parameters: view work according to its parameter set or bank name ! Servers: view work based on the server on which it was captured Volume Tab ImageMark Transaction Manager 4.2 System Administration 33 Chapter 2: Application Manager Managing Workload Completion Tab The Completion tab displays how much time remains before the rest of the work in the system is processed by Expert Balancing. The information includes: ! a graph that shows the time required to process the remaining work for each of the keying activities ! Percent: the percentage of all the work in the system that was processed at each of the keying activities. This is calculated as the number of items in batches presented to the Expert Balancer, divided by the total number of items in all batches captured ! Estimated Completion Time: the estimated time at which all work will be completed. The system also takes into account the worktype of the units-of-work queued at each role when calculating the estimated completion time. ! Vol., UOW and Time: the volume of work, number of units-of-work, and time remaining to complete the work at the selected stage two activity types ! Total and Printed: the total number of Advice Notices and the number already printed Completion Tab 34 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Managing Workload by Unit-of-Work Type You can view and manage workload by unit-of-work type and sub-type. Here are examples of some situations where this can be helpful: ! If work has not reached the ESU in a sufficient amount of time, view the current entry by tray, to see where the tray units-of-work have become stuck in the workflow. ! If reports are not printing through the Entry Item Report automatic report program, view the current entry by Document Data Record and Image (DI), to see if some work may be stuck in Balancing (BAL DI IN). To manage workload by unit-of-work, choose View > Work In Progress. The system displays the Work In Progress dialog. Work In Progress Dialog The Work In Progress dialog shows all of the work currently in the system. This dialog has several list boxes and buttons to filter the work. These help you find specific units-of-work when the system is processing a lot of documents. In general, you will want to select a unit-of-work type that lets you look at workload from a high enough level that you don’t get overwhelmed by detail, but from a low enough level that you don’t miss important information. To view a specific type of work, you can filter the work by cycle, entry number, state (e.g., On Hold), parameter set, and by: ! Unit-of-Work Type, where: ! Entry shows all work currently in the system. ! Tray Set shows all tray sets currently in the system. ! Tray shows all trays currently in the system. ImageMark Transaction Manager 4.2 System Administration 35 Chapter 2: Application Manager Managing Workload ! DDR with Images shows all of the batch units-of-work currently in the system. DDR unitsof-work are internal representations of documents, and do not carry an image by themselves. The DDR with Images unit-of-work includes the image. Note: When you select this work type, a new column called Large Batches is displayed. Batches of this type generally require more time to balance than regular batches. As a result you should consider changing the priority of large batches to high. See “Changing Work Priorities” on page 38. ! * ! DDR shows all batch units-of-work currently in the system that have been successfully balanced. ! Advice Notice shows all advice notice letters currently in the system. Unit-of-Work Sub-Type, where: ! All shows all of the units-of-work in the current unit-of-work type ! For trays and tray sets only, Input Ready shows only those units-of-work that are ready to be processed by the ESU, Input Processed shows only those units-of-work that have been processed by the ESU, Output shows only those units-of-work that have been created by the ESU. ! For DDR with images only, Batch shows only the batch units-of-work that have been processed at the EPA. The displayed batch units-of-work could be at Amount Keying, Codeline Completion, or Balancing. Transaction shows the status and location of deposits with items that are subject to review for negotiability and holds. ! The Sub-Type column tells you what unit-of-work subtype applies to the work, including: ! A – all ! DRA – DRA Transaction ! N – normal ! O – offline ! P – prime Tip: Sub-type options listed in this pull-down filter vary depending on type of work selected. ! Interaction, where: ! In Progress shows all work currently working its way through the system. ! At end shows all work currently sitting at the end of workflow. The system updates the Work In Progress dialog to show all the units-of-work that meet the criteria you specify. (For example, if you want to focus on just the work “In Progress” rather “All” work in the system, then you could choose the appropriate Interactions setting to filter out work already considered to be “At end”.) 36 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Viewing Unit-of-Work Details To view the details of a unit-of-work: 1 Choose View > Work In Progress. The system displays the Work In Progress dialog. 2 Select the Unit-of-work type and Unit-of-work sub-type from the lists, then choose UoW Details. The system displays the Unit of Work Details dialog. The fields displayed in this dialog vary depending on the Unit-of-work sub-type chosen. UoW Details Dialog ImageMark Transaction Manager 4.2 System Administration 37 Chapter 2: Application Manager Managing Workload Changing Work Priorities All of the work flowing through the system is sent from process to process on a first-in, first out basis. In the priority scheme, this is called normal priority. But sometimes you may need to change a unitof-work’s priority, for example, to push it through the system to meet a deadline. Note: When changing priorities, remember to apply your knowledge of workflow. For example, raising the priority of a particular DI unit-of-work won’t necessarily get work through the Entry Item Reports (EIR) auto-activity more quickly, because this auto-activity is triggered only when the entire entry is processed. To change the priority of a unit-of-work: 1 Choose View > Work In Progress. The system displays the Work In Progress dialog. 2 Select the unit-of-work from the list, then choose Set Priority. The system displays the Set Priority dialog. Set Priority Dialog 3 4 Select a priority from the Set Priority dialog: ! High: high-priority work gets processed before normal and low priority work. To push a DI unit-of-work through the system, you might change its priority from normal to high. ! Normal: normal-priority work gets processed before low priority work, but after high priority work. All units-of-work are automatically set to normal priority when they are created in the system. ! Low: low-priority work will be processed after all normal and high priority work is finished. Choose OK. The system changes the selected unit-of-work’s priority. 38 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Holding Back Work Sometimes you may want to hold units-of-work at their current location in workflow instead of letting them be passed on automatically. For example, say the transport operator ran work on the EPU that should have gone to some other department, so now you realize that you want to abandon processing that work in TM. Another example: you are in testing mode, and there's a particular batch of work you want to stay put for some time while you run other work, then come back to it later. Note: You cannot put units of work on hold that are already in process. Caution: When putting work on hold, be careful to apply your knowledge of workflow to avoid unintended results. Here are two examples: ! If you put a balanced DI unit-of-work on hold while it is at the Copy-to-AP auto-activity, this will prevent the BIE auto-activity from sending data to the host application and releasing the entry to the EIR auto-activity. ! If you put an entry on hold at CON, this will not stop tray and tray set units-of-work from proceeding to the ESU. To place work on hold: 1 Choose View > Work In Progress. The system displays the Work In Progress dialog. 2 Select the unit-of-work from the list, then choose Hold. 3 At the confirmation dialog, choose Yes. The system changes the state of the selected unit-of-work at its current position in the system to On Hold. No further processing will be done on it until you release it. ImageMark Transaction Manager 4.2 System Administration 39 Chapter 2: Application Manager Managing Workload Releasing Work To release a held unit-of-work and resume its processing: 1 Choose View > Work In Progress. The system displays the Work In Progress dialog. 2 Select a held unit-of-work from the list, then choose Release. 3 At the confirmation dialog, choose Yes. The system changes the state of the selected unit-of-work to Avail. The system resumes processing the unit-of-work. Resending Work to the Image Archive To resend ETI batches or entries to the image archive (during disaster recovery, for example): 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. Work in Progress Dialog 2 Select the entry or batch (that is to be resent to the archive) from the list, then choose UoW Details. The system displays the Unit of Work Details dialog. 40 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Unit of Work Details Dialog 3 Choose Resend. The system displays the following dialog, listing all units of work that are available to resend. Resend UoW Dialog ImageMark Transaction Manager 4.2 System Administration 41 Chapter 2: Application Manager Managing Workload 4 Select the unit of work to resend (one only), then choose OK. The system displays the following dialog: Resend Confirmation Dialog 5 Choose Yes. The system resends the unit of work to the image archive and returns you to the Unit of Work Details dialog. 42 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Workload Viewing Workflow Interactions Occasionally, the best way to analyze workflow or troubleshoot workflow problems is to look at the interactions that pass units-of-work from one activity to the next. Application Manager gives you two ways of viewing these interactions: ! Choose an activity and view all the units-of-work inbound to and outbound from it (in this context, the units-of-work are also known as interaction components). ! Choose one interaction from a list, and view all the activities sending work to or receiving work from this interaction. Viewing Interactions by Activity To view all the units-of-work inbound to and outbound from one particular activity: 1 Choose Workflow > Activity. The system displays the Activity Routing Table dialog. Activity Routing Table Dialog 2 Select an activity from the Activities list. The system updates the Interaction Components, IN/OUT, and Interaction columns to show the information for the activity that you selected. ImageMark Transaction Manager 4.2 System Administration 43 Chapter 2: Application Manager Managing Workload Viewing Activities for an Interaction To view all the activities sending work to or receiving work from a particular interaction: 1 Choose Workflow > Interaction. The system displays the Interactions Routing Table dialog. Interactions Routing Table Dialog 2 Select an interaction from the Interactions list. The system updates the window to show the information for the interaction that you selected. 44 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Cycles Managing Cycles The largest physical unit-of-work in the system is a cycle. Typically, a cycle comprises all the entries processed at a site on a particular day or during a particular time period. But the definition of a cycle can be customized. For example, the site may treat a cycle as the equivalent of one deposit date. So, if today the site were processing checks that must be deposited by the bank on July 3rd, all of those items would be grouped into one cycle. Adding a New Cycle If you need to create a new cycle at any time: 1 Choose Cycles > Manager.... The system displays the Cycle Manager dialog. The Cycle Manager lists each cycle, their corresponding host cycle, the storage space that the cycle is located in, and the cycle’s status in the system. Cycle Manager Dialog 2 Type a new cycle number in the Cycle number box, then choose Add. The system creates the cycle with a status of “Free” and is added to the Cycles currently in the system list. ImageMark Transaction Manager 4.2 System Administration 45 Chapter 2: Application Manager Managing Cycles Opening a New Cycle In order to use the new cycle, it must be opened. To open a new cycle at any time: 1 Select the new cycle from the list of cycles, and choose Open.... The system displays the Open Cycle dialog. Open Cycle Dialog ! If your system is configured for time-of-day sort processing, the Open Cycle dialog displays the default posting deadline beneath the posting date. ! If the default posting date is invalid, the posting deadline will not contain any data. To set the posting date, enter the desired date in the Posting Date fields. For information about invalid dates, see “Managing Invalid Posting Dates” on page 53. ! If your system has enabled the HOST_CONNECT_PARMS keyword, the Open Cycle dialog displays the region list box. Note: The host cycle number defaults to the same number as the cycle number. To modify the host cycle number, use the Cycle Manager. See “Modifying a Cycle’s Attributes” on page 51. 2 Set the date in the Posting date field to today’s date, or to the appropriate posting date. 3 Set the desired time in the Posting deadline field. 4 Select the storage space you want to store the cycle in from the Storage space list box. 5 If you have set your system to display the regions, select a region name from the list box. 6 Choose Open. The system opens the new cycle. 46 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Cycles Opening an Existing Cycle When you free a storage space in your start of day procedures, you also free the cycles within that storage space. In order to use these cycles, they must be opened and modified. To open an existing cycle: 1 Ensure a storage space and its cycles are free. To do this, see “Freeing a Storage Space” on page 124. 2 Choose Cycles > Manager.... The system displays the Cycle Manager dialog. The Cycle Manager lists the cycles and their status in the system. Note: You can only open a cycle that has a “Free” status. 3 Select the “Free” cycle from the list, and choose Open.... The system displays the Open Cycle dialog. Note: The cycle number cannot be modified as the cycle already exists and is only being opened. 4 Set the date in the Posting date field to today’s date, or to the appropriate posting date. 5 Set the deadline in the Posting deadline field to the desired time. 6 Select the storage space you want to store the cycle in from the Storage space list box. 7 Select a region name from the list box if different from the current setting. 8 Choose OK. The cycle is opened and ready to receive work. Removing a Cycle A cycle may be removed from the system when: ! All the units-of-work belonging to the cycle have been processed and deleted from the system. ! The cycle’s state has been set to “Free”. Note: Some system administrators choose not to remove free cycles from the system, since they are not consuming any resources. They simply leave these cycles free until such time as they want to open them. To remove a cycle: 1 Set the cycle you wish to remove to the “Free” state. See “Freeing a Storage Space” on page 124 for more information. 2 Choose Cycles > Manager.... The system displays the Cycle Manager dialog. 3 Select the cycle, then choose Remove. 4 At the confirmation dialog, choose Remove Cycle. The system removes the selected cycle from the cycles list in Cycle Manager. ImageMark Transaction Manager 4.2 System Administration 47 Chapter 2: Application Manager Modifying Cycles Modifying Cycles You may need to modify a cycle for various reasons: ! You may need to change the host cycle number if you encounter problems at BIE or SIE, and need to resend work with a different number. ! You may need to change the cycle’s state when all work for the cycle has been processed and you wish to delete the cycle. ! You may need to change the processing date so that you can process work from yesterday to recover from a software failure. Changing a Cycle’s State To modify a cycle’s state, choose Cycles > Manager.... The system displays the Cycle Manager dialog, which lists the currently defined cycles. Cycle Manager Dialog 48 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Cycles Opening a Cycle You can only open cycles with a state of “Free” or “Closed”. To open a cycle: 1 Select the cycle you wish to open, then choose Open.... The system displays the Open Cycle dialog. Note: The cycle number cannot be modified as the cycle already exists and is only being opened. Open Cycle Dialog 2 Set the date in the Posting date field to today’s date, or to the appropriate posting date. 3 Set the deadline in the Posting deadline field to the desired time. 4 Select the storage space you want to store the cycle in from the Storage space list box. Note: If the selected storage space has a state of “In Use”, the system will prompt a warning dialog. You may continue on with the current storage space or cancel to select another storage space. 5 If your system is configured to display a region selection field, select a region name from the list box (if different from the current setting). 6 Choose Open. The system opens the cycle. The state of the cycle in Cycle Manager changes to “Open”. Closing a Cycle Close a cycle when you are no longer capturing work for that posting date. You can reopen the cycle later if you choose to add more work to the cycle. You can only close cycles that have a state of “Open”. ! Important: To avoid confusion or possible selection errors by EPU operators, it is usually best to have only one open cycle for them to choose. To close a cycle: 1 Select the cycle you wish to open, then choose Close Cycle. The system sets the cycle’s state to “Closed”. ImageMark Transaction Manager 4.2 System Administration 49 Chapter 2: Application Manager Modifying Cycles Ending a Cycle End a cycle if you have no more work to put into the cycle and all the reports have been completed. To end a cycle, the work within the cycle must also be completed or be at “End”. To end a cycle: 1 Select the cycle you wish to end, then choose End. The system sets the cycle’s state to “End”. Reopening a Cycle A closed cycle must be reopened in order to continue to add more work to the cycle. You can only reopen cycles that have a state of “Closed”. To reopen a cycle: 1 Select the cycle you wish to reopen, then choose Reopen. The system sets the cycle’s state to “Open”. 50 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Cycles Modifying a Cycle’s Attributes You can only modify cycles that have a state of “Open” or “Closed”. You can change the following cycle attributes: ! host cycle number ! posting date ! posting deadline ! region name To modify a cycle: 1 Choose Cycles > Manager.... The system opens the Cycle Manager. 2 Select a cycle from the list, then choose Modify.... The system displays the Modify Cycle dialog. Modify Cycle Dialog 3 To change the host cycle number, type a new number in the Host cycle number field. 4 To change the posting date, set the date in the Posting date field to today’s date, or to the appropriate posting date. 5 To change the posting deadline (if set on your system), set the desired time in the Posting deadline field. 6 To change the region name (if set on your system), select a region name from the list box. 7 Choose Save. The system modifies the cycle information. ImageMark Transaction Manager 4.2 System Administration 51 Chapter 2: Application Manager Modifying Cycles Managing Cycle Deadlines In a time-of-day sort environment, BIE transmission does not take place until the ESU operator selects the prime pass sort pattern for that entry. As the posting deadline nears, if there are items that must still be sent to the host application, the system generates a warning. If the posting deadline is reached and BIE has still not received the necessary entries, BIE automatically selects the default sort pattern for the next deadline and uploads its data to the host application. After this occurs, operators can no longer select a sort pattern. If you do not want automatic BIE transmission to occur, you can modify the default posting deadline to allow the ESU operator the flexibility to select an ESU sort pattern. You must modify the posting deadline prior to BIE transmission. Once BIE transmission takes place for an entry, the ESU operator can no longer select a sort pattern for that entry. The sort pattern defaults to the same sort pattern that BIE used. Changing the values in the Posting deadline fields overrides, for that cycle, the posting deadline specified for the processing day in the POSTING_DEADLINE keyword. You should ensure that your changes allow the work to be processed and uploaded to the host application on time. To modify the posting deadline, see “Modifying a Cycle’s Attributes” on page 51. Notes: ! ! 52 The hour is measured from 00:00 on the processing date for the current cycle. If you modify the process date, the posting deadline changes to the default deadline for the specified day. ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Cycles Managing Invalid Posting Dates The invalid posting date utilities allow you to define which posting dates are invalid. Examples of invalid posting dates include weekends and holidays for most banks. Defining these dates prevents the system from creating a cycle with an invalid posting date. You can either specify a single invalid posting date, or you can specify the name of a file that contains multiple invalid posting dates. Creating Invalid Posting Dates To create an invalid posting date: 1 Change to the directory on your system for these types of files. For example, this might be a directory under %IMAGEMARK_ROOT%\opt\siips\home or %IMAGEMARK_ROOT%\home. 2 Create a file that contains the invalid cycle posting dates. Note: You only need to create this file if you intend to add multiple dates to the database. To add a single date to the database, see step 3. a Create a new text file or use the sample dates configuration file in: %IMAGEMARK_ROOT%\opt\siips\imdates.sample The syntax of this configuration file is as follows: # This is a sample ImageMark Invalid Cycle Posting Dates configuration file. # Blank lines or lines beginning with a # character are ignored # Invalid cycle posting dates can be in any Month, Day, Year format supported by Informix # i.e. 11/04/1999, 11041999, Nov. 4, 1999 11/04/1999 11041999 Nov. 4, 1999 Note: Invalid posting dates can be in any Month, Day, Year format that is supported by Informix. For example any one of the following is valid: 11/04/2001, 11042000, Nov. 4, 2000. b Enter all the invalid posting dates that you would like to add to the database. 3 Change to the %IMAGEMARK_ROOT%\bin directory. 4 Run imloaddates -f filename | -p postingdate where: ! -f filename is the name of the file that contains the list of invalid cycle posting dates ! -p postingdate is a single invalid cycle posting date The system displays a status line for each date processed. There are three possible status lines: 01/01/2000 Date Loaded 01/02/2000 Already Exists ImageMark Transaction Manager 4.2 System Administration 53 Chapter 2: Application Manager Modifying Cycles 01/03/2000 Failed Note: If the import fails because of a badly formatted date, the utility will continue to add new entries to the database. However, if the import fails for any other reason, the utility will terminate and not process any further dates. Deleting Invalid Posting Dates To delete an invalid posting date from the database: 1 Change to the %IMAGEMARK_ROOT%\bin directory. 2 Run imdeletedates -f filename | -p postingdate | -t olderthan where: ! -f filename is the name of the file that contains the list of invalid cycle posting dates to be deleted from the database ! -p postingdate is a single invalid cycle posting date to be deleted from the database ! -t olderthan is number of days before the current day’s date that are to be deleted from the database. For example, to delete the records from yesterday and the day before, you would enter 2. To delete only yesterday’s date, you would enter 1. The system displays a status line for each date processed. There are two possible status lines: 01/01/2000 Date Deleted 01/02/2000 Failed Note: If the deletion fails because of a badly formatted date, the utility will continue to delete entries from the database. However, if the deletion fails for any other reason, the utility will terminate and not process any further dates. Displaying Invalid Posting Dates To display invalid posting dates: 1 Change to the %IMAGEMARK_ROOT%\bin directory. 2 Run imdisplaydates. The system displays all invalid dates in the database from oldest to newest. The dates are displayed as MM/DD/YYYY. 54 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Cycles Exporting Suspense Pool Items You can export suspense items to the archive prior to reinitializing the databases (otherwise, the document data and image for the items will be lost and you will have no record of the items). When you export suspense items to the archive, the document data and images for the items will be put into the archive. To export suspense pool items: 1 Choose Cycles > End of Cycle > Export Unresolved Suspense > Cycle number where Cycle number is a list of all cycles with a state of “Closed” or “End”. Choose the cycle number you want to export unresolved suspense items to. 2 At the confirmation dialog, choose Yes. The system exports any unresolved suspense items to the archive. Note: Exporting unresolved suspense items creates a file that can be sent to an archive through ImageMark Passport. Exporting IQ Rejects To export an Image Quality Reject: 1 Choose Cycles > End of Cycle > Export Image Quality Reject. ImageMark Transaction Manager 4.2 System Administration 55 Chapter 2: Application Manager Modifying Cycles Aging Out Second Source The probability of a second source record being matched to an item decreases over time. Therefore to improve database efficiency, you should periodically delete second source records. Note: If the EXPORT_SS_UNMATCHED keyword is active, the records will be exported, as well as aged out. To delete second source records: 1 Choose Cycles > End of Cycle > Age Out SMM Records.... The system displays the Age Out Second Source Records dialog, which lists the posting dates for unmatched second source records. Age Out Second Source Records Dialog 2 Select the posting date you want to age out. The associated PSet name is also displayed in the list. 3 Select the cycle you want to associate with the aged out records, then choose Age Out. Note: Only cycles with a state of “Open”, “Closed” or “End” will be displayed in the Associate with this cycle list box. 4 At the confirmation dialog, choose Yes. The system deletes the selected second source records. Note: Exporting second source records creates a file that can be sent to an archive through ImageMark Passport. 56 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Entries Modifying Entries You can modify the entry information without directly modifying the cycle the entry is located in. Occasionally, you may want to move entries to a different cycle or change the host entry number for an entry. Changing the Host Entry Number To change the host entry number, do the following: 1 Choose Entry > Host Entry. The system displays the Host Entry Number dialog, which contains a list of the currently defined cycles. Host Entry Number Dialog 2 From the Cycles list, select the cycle for the entry that you want to modify. The system displays a list of the entries for the selected cycle. 3 From the Entry Number list, select the entry for the host entry that you want to modify, then choose Change.... The system displays the New Host Entry Number dialog. New Host Entry Number Dialog 4 Obtain a new set of tracer documents with an unused entry number. ImageMark Transaction Manager 4.2 System Administration 57 Chapter 2: Application Manager Modifying Entries 5 Type the new number for the Host entry, then choose OK. The system displays the Host Entry Number dialog with an ‘M’ beside the entry number in the Modified column. Note: After the physical tracer documents in the entry have been processed at the ESU, replace the original physical tracer documents with the new tracer documents. Viewing the SuperMICR Job Number For a SuperMICR application, you can view the job numbers that the host system assigned to the entries that the system sent to it. To view the SuperMICR job number: 1 Choose Cycles > Host Entry. The system displays the Host Entry Number dialog. SuperMICR Host Entry Number Dialog 2 From the Cycles list, select the cycle for the entry that you want to view. The system displays a list of the entries for the selected cycle. 58 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Entries Moving an Entry to a Different Cycle If an EPU operator selects the wrong cycle for an entry, you can correct the error by moving the entry to a different cycle. Note: You can only do this if the entry has not started processing at the ESU. To move an entry to a different cycle: 1 Choose Entry > Entry Cycle. The system displays the Entry Cycle dialog. Entry Cycle Dialog 2 Select the original cycle. The Entry Number list displays all entry numbers for that cycle. 3 Select the entry number that is to be moved to a different cycle, then choose Change.... The system displays the Change Entry Cycle Number dialog. Change Entry Cycle Number Dialog ImageMark Transaction Manager 4.2 System Administration 59 Chapter 2: Application Manager Modifying Entries 4 Select the cycle you want to use, then choose OK. The system displays the Entry Cycle dialog with the new cycle number next to the entry number. T Note: The system displays the Cannot Change Processed Entry dialog if the entry has already begun processing at the ESU. Choose OK to return to the Entry Cycle dialog. The entry you chose cannot be moved to another cycle. Notes: ! ! Trays from this entry cannot be stacked at the ESU. Trays from this entry are displayed at the ESU under the Original Cycle. A supervisor alert is logged to record the fact than an entry has been moved to a different cycle. This alert contains the entry number, the original cycle number, and the new cycle number. Exporting Entries To export a normal entry unit of work: 1 From the Application Display window, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 For the Unit of work type, choose Entry. The system displays only the Entry units of work in the table. 3 For the Unit of work sub-type, choose Normal. The system displays only the Normal Entry units of work in the table. Work In Progress Dialog 4 Select the Normal Entry unit-of-work (that is to be exported), then choose UoW Details. The system displays the Unit of Work Details screen. 60 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Modifying Entries Unit of Work Details: Exporting an Entry 5 Choose Export. The system creates a duplicate Entry unit of work to the one selected, with a UoW Subtype of “Export”. ImageMark Transaction Manager 4.2 System Administration 61 Chapter 2: Application Manager Viewing Image Quality Status Viewing Image Quality Status The Unit of Work Details screen displays the Image Quality Status of the selected unit of work. These are the possible statuses: IQ Status Value What It Means 0 all items are good image quality 1 contains Image Quality rejects 2 contains Image Quality rejects that must be hand-moved from their original pocket to the end of their new reassigned pocket 3 contains Image Quality Suspects 4 contains high priority Image Quality suspects 5 Image Quality tests required 6 contains Image Quality rejects that cannot be changed 7 review by an expert balancer required To view the Image Quality Status: 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 From the Unit of work type field, choose DDR with Images. The system displays DDRI units of work in the table. Work In Progress Dialog 62 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Viewing Image Quality Status 3 Select a DDRI Unit of Work from the table, then choose UoW Details. The system displays the Unit of Work Details screen, with IQ Status displayed in the lower righthand corner. UoW Details Dialog ImageMark Transaction Manager 4.2 System Administration 63 Chapter 2: Application Manager Managing the Print Spooler Managing the Print Spooler If you are having problems with the printer that is used for printing reports, you can redirect Entry Item and Tray Set reports to a temporary spooler directory (%IMAGEMARK_ROOT%\opt\siips\spool) so that you can view them or print them later when the printer is working. Redirecting Reports to Print Spooler To redirect report printing, you must have an Application Display window open on your running copy of ImageMark Transaction Manager. 1 To redirect the EIR, TSR, and BDL reports to the spooler directory: a Choose View > Print Spooler. The system displays the Print Spooler dialog. Print Spooler Dialog b Choose Configure.... The system displays the Configure Spooler dialog. 64 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing the Print Spooler Configure Spooler Dialog 2 c Select the reports listed in the Output to Printer list. d Choose << to move the reports to the Output to Spooler list, then choose OK. e At the confirmation dialog, choose Yes. After redirecting the EIR and TSR reports, you must unload, then re-load report auto-activities to effect the changes: a Choose Maintain > Activities. The system displays the Activities dialog. Activities Dialog b In the Auto-Activity list, find the Entry Item Reports auto-activity and check its status in the Status column. ImageMark Transaction Manager 4.2 System Administration 65 Chapter 2: Application Manager Managing the Print Spooler c If this status is “Failed” or “Not Running”, go on to the next step. Otherwise, complete the following: ! Select the auto-activity, then choose Unload. ! At the confirmation dialog, choose Yes. The status then changes, first to “Terminating”, then to “Not Running”. d 3 Repeat steps 2 and 3 for the Tray/Trayset Reports auto-activity. Once the auto-activities have stopped, you can restart them: a Choose Maintain > Activities. The system displays the Activities dialog. b Select the Entry Item Reports auto-activity, then the Tray/Trayset Reports auto-activity, so that both of them are highlighted. c Choose Load. The two report auto-activities print the reports to the spool device. Viewing Reports Once you have redirected the reports you can view them: 1 Choose View > Print Spooler. The system displays the Print Spooler dialog displaying all available reports for printing. Print Spooler Dialog Since there can be several reports for multiple entries, tray sets, or parameter sets, it can be difficult to find the ones you need. Therefore, to help you limit which reports are shown in the Print Spooler dialog, you can filter the report criteria by report type, entry number, parameter set, and by unit-of-work type where: ! 66 Entry shows all the types of reports ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing the Print Spooler ! 2 Tray Set shows the Capture Reconciliation Run report Select the report, then choose View.... The system displays the report in Notepad. You can print the report from this window or go back to the Print Spooler dialog. Viewing Report in Notepad * Tip: To properly read reports in Notepad, you may want to resize the window or turn off word wrap. ImageMark Transaction Manager 4.2 System Administration 67 Chapter 2: Application Manager Managing the Print Spooler Printing Reports Once you have redirected the report(s) you can print them: 1 Choose View > Print Spooler. The system displays the Print Spooler dialog. 2 Select the report(s), then choose Print. The system displays the Print dialog. Print Dialog 3 Select the printer you wish to use. ! Line specifies the first available printer in the line printer class—the lpsiips printer may or may not be the first ! FILE specifies the directory %IMAGEMARK_ROOT%\opt\siips\archive Note: The FILE output directory is not the same as printing to Spool. The Spool directory is used for temporary storage while the FILE directory is used for long-term storage. ! 4 lpsiips specifies the printer that was configured during the ImageMark Transaction Manager installation Choose OK. The system prints the report(s). Deleting Reports To delete reports from the spool directory: 1 Choose View > Print Spooler. The system displays the Print Spooler dialog. 2 Select the report, then choose Delete. 3 At the confirmation dialog, choose Yes. The system deletes the selected report(s) from the spool directory. Note: The contents of the %IMAGEMARK_ROOT%\opt\siips\spool directory (i.e., reports printed to spooler) are periodically deleted by the system. 68 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing the Print Spooler Redirecting Reports Back to Printer Once the printer problem has been resolved, you can redirect the EIR and TSR reports back to the original print device. 1 To redirect the reports to the printer: a Choose View > Print Spooler. The system displays the Print Spooler dialog. b Choose Configure.... The system displays the Configure Spooler dialog. Configure Spooler Dialog 2 c Select the reports listed in the Output to Spooler list. d Choose >> to move the reports to the Output to Printer list, then choose OK. e At the confirmation dialog, choose Yes. Now you can restart the EIR and TSR auto-activities: a Choose Maintain > Activities. The system displays the Activities dialog. b In the Auto-Activity list, find the Entry Item Reports auto-activity and check its status in the Status column. c If this status is “Failed” or “Not Running”, go on to the next step. Otherwise: ! Select this auto-activity, then choose Unload. ! At the confirmation dialog, choose Yes. The status then changes, first to “Terminating”, then to “Not Running”. d 3 Repeat steps 2 and 4 for the Tray/Trayset Reports auto-activity. Once the auto-activities have stopped, you can restart them: a Choose Maintain > Activities. The system displays the Activities dialog. ImageMark Transaction Manager 4.2 System Administration 69 Chapter 2: Application Manager Managing the Print Spooler Activities Dialog b Select the Entry Item Reports auto-activity, then the Tray/Trayset Reports auto-activity, so that both of them are highlighted. c Choose Load. The two report auto-activities now print the reports to the spool device. 70 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Activities Managing Activities Another way to manage ImageMark Transaction Manager workflow involves monitoring the activities that are running on the various stations. From a workflow management standpoint, an activity is simply a running copy of an ImageMark Transaction Manager software component. For example, a copy of Codeline Completion running on an IDT is displayed as an activity in Application Manager. Viewing Activities To view activities, choose Maintain > Activities. The system displays the Activities dialog. Activities Dialog The top list in the Activities dialog displays auto-activities (activities that run automatically in the background). The Station control lets you display these activities for all stations or only for the station you specify. The bottom list is for activities (activities that are run by operators). The Work Group control lets you display these activities for all work groups or only for the work group you specify. You use these two lists to monitor these activities. ImageMark Transaction Manager 4.2 System Administration 71 Chapter 2: Application Manager Managing Activities Loading Activities To load a new activity, or to restart an activity that you had previously shut down: 1 Choose Maintain > Activities. The system displays the Activities dialog. 2 Select the activity, then choose Load. 3 At the confirmation dialog, choose Yes. The system loads the activity and allocates system resources for it. If it is an operator activity, the corresponding operators can now see it on their screens and select it. Shutting Down Activities Sometimes you may want to temporarily stop an activity from processing any work. For example, suppose Central Processing asks you to stop sending balanced I-string data to the host, and you do not want to put the units-of-work themselves on hold. You can shut down the BIE auto-activity instead. Caution: We recommend that whenever possible, you use the shutdown procedure in this section instead of the unloading procedure in the next section. When you shut down an activity, the system lets it finish whatever work it has in process before it shuts down. When you unload an activity, it stops immediately, and you have to recover the work later. To shut down an activity: 1 Choose Maintain > Activities. The system displays the Activities dialog. 2 Select the activity, then choose Shutdown. 3 At the confirmation dialog, choose Yes. The system shuts down the selected activity. 72 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Activities Unloading Activities If you try to shut down an activity and the shutdown is taking much too long, you can unload it instead, in an emergency. Unloading is less graceful than a shutdown, but it does happen immediately. Caution: We recommend that whenever possible, you use the shutdown procedure in the preceding section instead of the unloading procedure given below. When you shut down an activity, the system lets it finish whatever work it has in process before it shuts down. When you unload an activity, it stops immediately, and you have to recover the work later. To unload an activity: 1 Choose Maintain > Activities. The system displays the Activities dialog. 2 Select the activity, then choose Unload. 3 At the confirmation dialog, choose Yes. The system unloads the selected activity. ImageMark Transaction Manager 4.2 System Administration 73 Chapter 2: Application Manager Reassigning a Station Reassigning a Station Although ImageMark Transaction Manager can automatically reassign IDTs to a DS that has work available, you may on occasion want to reassign a station to run services for a different station group. You can reassign any of the following types of stations from one station group to another: ! IDTs ! TSSs ! EPUs ! ESUs Once the situation that prompted you to reassign the station has passed, you may want to restore the station to its original group. Reassigning a Station Before you reassign a station, you must: ! if reassigning an IDT, decide which of the keying activities you want it to perform for the new station group ! determine what database services you need for each of these activities ! determine which servers provide these services in the new station group To reassign a station for another group: 1 Choose Configuration > Station. The system displays the Stations dialog. Stations Dialog 74 2 In the Stations list, select the station that you want to reassign. 3 In the Installed activities list, select the first activity that you want the station to perform in its new station group, then choose Services.... ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Reassigning a Station The systems displays the Services dialog that you use to access services from the new station group’s servers. Services Dialog 4 For each database service required by the activity you chose: a Select the name of the service, then choose Modify.... The system displays the Modify Current Station dialog, which lists all available servers for this service. Modify Current Station Dialog b Select the database server that provides this service in the new station group, then choose OK. The system updates the station in the Services dialog. The Station column shows the new server that you have assigned for each service required by this activity. 5 In the Services dialog, choose OK. ImageMark Transaction Manager 4.2 System Administration 75 Chapter 2: Application Manager Reassigning a Station Restoring a Station to its Original Station Group To restore a station to its original group: 1 Choose Configuration > Restore Configuration. 2 At the confirmation dialog, choose Yes. The station returns to its original configuration. Note: The Restore Station command takes care of all required changes for you. You do not need to reassign activities and services manually. 76 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Implementing Parameter and Environment Variable Changes Implementing Parameter and Environment Variable Changes When changes to your system’s parameters or environment variables are made by your parameter analyst, the changes do not take effect immediately. You need to implement the changes by stopping and restarting the affected auto-activity(s). Stopping an Auto-Activity To shut down an auto-activity: 1 Choose Maintain > Activities. The system displays the Activities dialog. 2 Select the auto-activity, then choose Shutdown. 3 At the confirmation dialog, choose Yes. The system shuts down the selected auto-activity. Restarting an Auto-Activity To restart the auto-activity: 1 Choose Maintain > Activities. The system displays the Activities dialog. 2 Select the auto-activity, then choose Load. 3 At the confirmation dialog, choose Yes. The system loads the auto-activity and allocates system resources for it. ImageMark Transaction Manager 4.2 System Administration 77 Chapter 2: Application Manager Server Status Server Status The Server Status dialog is used to the availability of a specific server. A check mark in the check box beside a server name indicates that the server is available and work will be distributed to it. Viewing Server Status To view the list of available servers on your instance of ImageMark Transaction Manager, choose Configuration > Server Status. Server Status Dialog Changing Server Status You can change the availability status of a server on the system. To make a server unavailable on the system: 1 Choose Configuration > Server Status. The system displays the Server Status dialog. 2 Clear the check box beside the name of the server you want to make unavailable on the system. 3 Choose OK. To make a server available on the system: 1 Choose Configuration > Server Status. The system displays the Server Status dialog. 78 2 Place a check in the check box beside the server you want to make available on the system. 3 Choose OK. ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager External Capture Station Status External Capture Station Status You can view the status of the External Capture Unit (ECU) (or ATM) station. This display shows the availability of each ECU, and allows management of this status. Viewing External Capture Station Status To view the ECU (ATM, CS, etc.) station status, choose Configuration > External Capture.... The system displays the External Capture Station dialog. External Capture Station Dialog For each station, the following information is displayed: ! The Number column shows the Station ID ! The Node Name column shows the assigned network node name ! The Display Name column shows the display name configured ! The State column shows whether the ECU (or ATM) is currently available, unavailable, or not configured. The stations may be filtered by State: ! When All is selected for State, the system displays each ECU (or ATM) regardless of its current state ! When Available is selected for State, the system displays ECUs (or ATMs) that have been configured and are active ! When Unavailable is selected for State, the system displays ECUs (or ATMs) that are currently marked as unavailable (i.e., data captured from that ECU or ATM is not imported). ImageMark Transaction Manager 4.2 System Administration 79 Chapter 2: Application Manager External Capture Station Status The order of station information within the table can be toggled between Transport Order and Transport Name. Note: To review details about the work received from an ECU, see “Viewing Import Status” on page 87. Changing the External Capture Station Status You can refuse capture files from any ECU (or ATM). For instance, a banking center may be sending corrupt data files, or improperly captured data files (i.e., incorrect processing date). The system allows you to select a specific station and suspend the importing of their data into the ImageMark Transaction Manager databases. To change the state of a station: 1 Choose Configuration > External Capture.... The system displays the External Capture Station dialog. 2 Select the appropriate station. Note: To change the state of multiple stations simultaneously, all stations selected must have the same status. 3 Choose Change State. 4 At the confirmation dialog, choose Yes. The system changes the state of the selected stations. 80 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Application Instances Managing Application Instances Under certain circumstances, you may be required to load or unload an application instance. Loading an Instance Typically, the only time you load an instance is when you want to switch from one application type to another. Before you can load an instance: ! the parameter files associated with its application type must be generated and installed ! the ASCII files associated with its application type must be translated ! the application type itself must be installed To load an instance: 1 Check whether any other instances are active: a In the Application Manager window, choose Application > Display.... The system displays the Display Application dialog, showing all the copies of instances that are currently loaded on the system. Display Application Dialog b Select each loaded copy in turn. The Active/Inactive radio buttons tell you whether the instance you selected is active or inactive. ImageMark Transaction Manager 4.2 System Administration 81 Chapter 2: Application Manager Managing Application Instances 2 For each instance that is active, make it inactive: a Select the instance in the Loaded copies of application list, then choose OK. The system displays an Application Display window for this instance. b Choose Maintain > Application > Shutdown. Respond appropriately to any messages or confirmation dialog boxes. The system displays the Activities dialog. This dialog remains open until all the autoactivities have terminated. c Wait until all the auto-activities have stopped. The Activities dialog closes automatically. d 3 To close the Application Display window, choose Maintain > Exit. When you have finished making all other instances inactive, go back to the Application Manager window and choose Application > Load.... The system displays the Load Application dialog. Note: The Application name will be different for your site. Load Application Dialog 4 Select the desired instance from the Application list, then choose OK. The system displays an Application dialog, where you must type a name for the new instance. Name New Instance Dialog 82 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Application Instances 5 Type in the name that you want to assign to this instance (for example, “MyBank, Version 2”), then choose OK. The system creates the instance and displays the Create Cycle dialog. Create Cycle Dialog 6 Type the cycle number in the Cycle Number field, then press Tab. The Host Cycle Number defaults to the same number you entered for the Cycle Number. 7 Select a Cycle State: ! Open: a cycle must be open to allow operators to create work at the EPU ! Close: if a cycle is closed, new entries cannot be created at the EPU, though unfinished work can still be processed ! Empty: an empty cycle is a closed cycle that has had all of its work processed and deleted. Once a cycle has been set to EMPTY, it can be deleted. 8 If you are opening a new cycle, ensure that the date in the Posting Date field is set to today’s date, or to the appropriate posting date. 9 Choose OK. The system creates the cycle instance. 10 To use this instance now, choose Maintain > Application > Restart. The instance is restarted and the system displays the Activities dialog. ImageMark Transaction Manager 4.2 System Administration 83 Chapter 2: Application Manager Managing Application Instances Activities Dialog 11 Wait until all the auto-activities have started, then choose Close. The selected instance has been loaded and the system displays the Application Display window for that instance. Unloading an Instance Unloading an instance clears its records from the databases and frees the system resources that are allocated for it. Also, the next time you want to run an instance of this application type, you have to load it again, which takes longer than restarting one that you have only shut down. Note: Before you can unload an instance, you must do an orderly shutdown as described in “Archiving Report Files” on page 18. 1 Choose Maintain > Application > Unload. 2 At the confirmation dialog, choose Yes. The system unloads the instance, and the resources it was using are released. 84 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Viewing Work Export Status Viewing Work Export Status You can view the status of work sent to the host application during the Balanced Item Export (BIE) or Sub-Pass Item Export (SIE) auto-activities. Viewing Export Log To view the status of work sent to the host application, choose View > Export Log. The system displays the Export Log dialog, which displays the status of all work sent to the host application during BIE or SIE. The dialog refreshes every fifteen seconds. Export Log Dialog You can filter the information displayed in the Export Log dialog by export activity, parameter set, entry number, cycle, and by UoW flag, where: ! All views all UoW types ! Resend views only units-of-work resubmitted to BIE and SIE ! Export views only normal BIE and SIE units-of-work Note: The summary information varies depending on the originating auto-activity and the type of message generated. If you receive a Miscellaneous message for a UoW, that is the only message you will receive for that work. For each successful upload, you should receive two messages: Start and Finish. If you receive Start and Fail, consult Diagnostics for details. ImageMark Transaction Manager 4.2 System Administration 85 Chapter 2: Application Manager Viewing Work Export Status Viewing Export Details To view the export details for a UoW: 1 Choose View > Export Log. The system displays the Export Log dialog. 2 Select the item you want to view, then choose Details. The system displays the Export Log Details dialog. Export Log Details Dialog 86 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Viewing Import Status Viewing Import Status You can monitor the status of image capture files from external capture units (ECU). This display identifies import problems (such as an invalid cycle or invalid station) and allows you to manage some of these problems by retrying the import or remapping cycle numbers. Viewing Import Status To view the status, choose View > Import Status. The system displays the Import Status dialog. Import Status Dialog Changing the Station/Location setting allows you to display only those items captured on a specific transport or at a specific location. Changing the State setting allows you to view the current state of the import file. Notes: ! ! If you have both the Transports toggle and State toggle set to All, the dialog will not show files with the state of “imported”. To see the status of all files for a particular type of transport, sort by Capture Type column (click on the column heading) to group the entries for that transport. ImageMark Transaction Manager 4.2 System Administration 87 Chapter 2: Application Manager Viewing Import Status Changing the Cycle Number of Import File If you have image capture files with an “invalid cycle” it may mean that they were captured (at the ECU) under the wrong posting date. In this case, you need to move the entries to the correct cycle number. 1 Choose View > Import Status. The system displays the Import Status dialog. 2 Select the entry with an invalid cycle, then choose Change Cycle.... The system displays the Change Cycle dialog. Change Cycle Dialog 3 Select a cycle number from the list, then choose OK. The system updates the number of the cycle and automatically retries the import. Note: The Modified Entry report shows the entries that were moved to another cycle. Retrying Files and Reloading Work If you have an image capture file that has not been processed, you can try to process it again. For example, a “blocked” file means that the ECU station has been made inactive for service. Once the station is active again, you can retry the file by performing the following steps: 1 Choose View > Import Status. The system displays the Import Status dialog. 2 Select the entry you want to retry, then choose Retry. The system reprocesses the capture image file. 88 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Viewing Import Status You can perform the same procedure to reload work that you previously held over. Any holdover units-of-work will be marked with a status of “holdover”. Notes: ! If the unit-of-work does not match a currently open cycle, the work will reappear with a status of “invalid cycle”. See “Changing the Cycle Number of Import File” on page 88 for information on handling this. ! If a storage space is not available on the system, the work will return with a status of “No Storage Space”. See “Managing Storage Spaces” on page 120 for information on how to handle this. Ignoring Import Files If you no longer want image capture files to be imported into the system, you can set the files to be ignored by the system. Once applied, this process is not reversible as the files will be deleted from the importing queue. To set files to be ignored: 1 Choose View > Import Status. The system displays the Import Status dialog. Import Status Dialog 2 Select the entry (or entries) you want to be ignored by the system, then choose Ignore. 3 At the confirmation dialog, choose OK. The system ignores the capture image file(s). Note: You can only ignore entire runs. If you have not selected all the files in a run to be ignored, an error dialog will appear and not allow you to proceed until all the files in the run are selected and set to “Ignore”. ImageMark Transaction Manager 4.2 System Administration 89 Chapter 2: Application Manager Viewing Import Status Displaying File Details To display the details of a capture file: 1 Choose View > Import Status. The system displays the Import Status dialog. 2 Select the entry whose details you want to view, then choose Details. The system displays the File Details dialog. File Details Dialog 90 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Viewing Archive Status Viewing Archive Status While an Application Display window is open on a running copy of ImageMark Transaction Manager, you can view each ETI auto-activity’s progress with the units-of-work that are bound for the archive system. To view the archive status, choose View > Archive Status. Archive Status Dialog This dialog shows you each ETI auto-activity as it progresses through the processing of units-ofwork for archive. ! The Generated column shows how many units-of-work of each type there are in the system. ! The Archived column shows how many units-of-work of each type have been archived. ! The Complete column signifies that all generated units-of-work have been successfully or unsuccessfully archived and all cycles associated with the current view in the dialog are closed. The Cycle list box allows you to display units-of-work to be archived for a specific cycle (or posting day) or for all cycles. ImageMark Transaction Manager 4.2 System Administration 91 Chapter 2: Application Manager Viewing Archive Status To view status changes to the archive as it updates, choose Refresh. Note: This dialog is enabled by setting the ArchiveInSystem parameter (AMCLASSA_PARMS keyword). If you enable ArchiveInSystem, you must also set ArchiveDocumentItem, ArchiveAdvice, and ArchiveOperatorAudit. The ArchiveDocumentItem parameter settings let you determine whether a document type will be archived and let you assign a unit-of-work type to document type (either DDRI or Entry units-of-work). 92 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Second Source Matching Managing Second Source Matching You can monitor and manipulate units-of-work that fail to match second source data records during SMM processing. This display shows you “held” batches and allows you to retry or push the batches. There are two options for work moving past SMM, controlled by parameters. A DI unit of work can move on if either of the following is true: ! the ReturnUnlessAllMatched parameter (EXT_SECOND_SOURCE_BANK_PARMS keyword) is set to 0, and one item has been matched ! the ReturnUnlessAllMatched parameter (EXT_SECOND_SOURCE_BANK_PARMS keyword) is set to 1, and the entire unit of work has been matched Viewing Second Source Processing Information You can monitor the progress of SMM processing in the Second Source View dialog. The dialog lists all DI units-of-work that did not have a single match to a second source data record item. To view Second source information, choose View > Second Source.... The system displays the Second Source Status dialog, which lists all batches with images units-ofwork that contain items that require matching but are not yet matched. Second Source Status Dialog To manage workload by unit-of-work, choose View > Work In Progress. The system displays the Work in Progress dialog. ImageMark Transaction Manager 4.2 System Administration 93 Chapter 2: Application Manager Managing Second Source Matching Work In Progress Dialog On the Work in Progress dialog, the Item Viewer button is enabled only when both of the following are true: ! only one unit of work is selected ! that unit of work is a DDR+I unit of work that is either On Hold or At End From either of these screens, choose Item Viewer to display the item’s image and field information. Item Viewer 94 ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Second Source Matching Resubmitting Work to SMM If SMM processes a unit-of-work without locating the associated second source data, you can resubmit the unit-of-work to SMM. During the second submission to SMM, the auto-activity will reprocess the work and try to locate its second source data. To resend a unit-of-work to SMM: 1 Choose View > Second Source.... The system displays the Second Source Status dialog. 2 Select the unit(s)-of-work you want to resend, then choose Retry. The system resends the unit(s)-of-work to SMM. Pushing Work Past SMM To push a unit-of-work past SMM: 1 Choose View > Second Source.... The system displays the Second Source Status dialog. 2 Select the unit(s)-of-work you want to push past SMM, then choose Push. The system pushes the unit(s)-of-work past SMM without matching second source data. Note: You can have the system automatically push a unit-of-work that has been waiting at SMM for its second source file to arrive for a certain amount of time (for example, 75 minutes) using the EXT_SECOND_SOURCE_BANK_PARMS parameter. Enabling Shuffle Mode You can put SMM into shuffle mode to have all units-of-work bypass the auto-activity. Note: You can customize the Second Source Status dialog interface for shuffle mode using the Spare1 parameter for the AMCLASSA_PARMS keyword. To enable shuffle mode: 1 Choose View > Second Source.... The system displays the Second Source Status dialog. 2 Choose Enable Shuffle Mode. 3 At the confirmation dialog, choose Yes. The button toggles to Disable Shuffle Mode. 4 For the change to take effect, stop and restart SMM. ImageMark Transaction Manager 4.2 System Administration 95 Chapter 2: Application Manager Managing Second Source Matching Disabling Shuffle Mode To disable shuffle mode: 1 Choose View > Second Source.... The system displays the Second Source Status dialog. 2 Choose Disable Shuffle Mode. 3 At the confirmation dialog, choose Yes. The button toggles to Enable Shuffle Mode. 4 For the change to take effect, stop and restart SMM. Viewing Item Images You can view the front and back images of items to determine why a unit-of-work is missing second source data. To view SMM item images: 1 Choose View > Second Source.... The system displays the Second Source Status dialog. 2 Select the unit-of-work that contains items you wish to view, then choose Details. The system displays the Second Source Details dialog. Second Source Details Dialog 3 96 Manipulate the images in any of the following ways: ! Select the image to display its reverse side. ! Choose <<Previous to view the previous item’s image in the unit-of-work. ! Choose Next>> to view the next item’s image in the unit-of-work. ImageMark Transaction Manager 4.2 System Administration Chapter 2: Application Manager Managing Second Source Matching Holding Work To hold a unit-of-work for processing on a future date: 1 Choose View > Second Source.... The system displays the Second Source Status dialog. 2 Select the unit(s)-of-work you want to holdover for future processing, then choose Holdover. The system will push the unit(s)-of-work past SMM without matching second source data, but indicates that it needs to be held over for a future processing date. ImageMark Transaction Manager 4.2 System Administration 97 Chapter 2: Application Manager Workflow Diagrams Workflow Diagrams These ImageMark Transaction Manager 4.2 workflow diagrams are shown on the following pages: 98 ! Standard OTC ! Unencoded Large Deposit / Block Balancing ! Pre-encoded / Block Balancing (with PIE) ! Pre-encoded with Regular Batch Balancing ImageMark Transaction Manager 4.2 System Administration EPU ESU ESU_TS_IN 11 82 Image Quality Tests ETF_ANY_OUT ESU_TS ESU_T ** ESU_IN_T ** ESU_IN_TS ESU_T_IN ESE 9 "61: ESI IN" EPA_IN EPA_IN (R,A,Q) EPA_OUT (T) EPA_OUT (TS) ESI ** EPA_OUT (I/P_T) RSS_DI 15 16 (A) CPR CPR_T/IN CPR_TS/IN CON_E_OUT CON_D_OUT CON_E_IN RSS (B,U) CPR_O/P_TS_IN CPR_O/P_T_IN 17 CON CON_TS/H_OUT CON_T/H_OUT ** EPA_OUT (I/P_TS) 60 1 CON_TS/J_OUT CON_T/J_OUT CON_TS_IN CON_T_IN (U,S,B) ACC 10 ETF_ANY_IN ETF_ANY_IN ACC_DI (A) (U,S,B) "60: ESE ANY IN" 61 CON_T/K_OUT CON_TS/K_OUT EPA_OUT (TS) EPA_OUT (T) ETF_ANY_OUT 12 80 (R,Q) IQA EPA_OUT (E) IQA_DI EPA EPA_OUT (DI) 22 35 SIE_TS_IN CPR_O/P_T/OUT CPR_O/P_TS/OUT CPR_TS_OUT 36 SIE_PUSH_TS_OUT 7 (B,U) (A) 27 3 26 CPR_T/HO_IN CPR_TS/HO_IN SIE_TS_OUT SIE_T_OUT EIR 32 AK END_D_IN CRD_TS/HI_IN CRD_T/HI_IN 14 (*extension options) CRD_TS_K/*_OUT ETI_IN 37 33 TSR_T_IN END_TS_IN ETI_OUT SCU_E_OUT 20 TSR_TS_OUT SCU 39 31 END_DI_IN 8 (U) 5 EBAL ( DI not in proof ) SCU_DI_OUT (B) ADV ADV_A_IN xxx_DI Entry xxx_E Batch xxx_D xxx_T Advice Notice xxx_ADV Tray Set xxx_TS Tray Units of Work: EPA - Entry Processing Autorole ACC - Auto Codeline Completion IQA - Image Quality Analysis RSS - Recognition STG - Stager SCU - Suspense Copy & Update CTA - Copy to AP CON - Consolidation ESE - Encode & Sort Export ESI - Encode & Sort Import BIE - Balanced Item Export SIE - Sub-pass Item Export EIR - Entry Item Report CRD - Coordination ETI - Export to Image Archive TSR - Tray Set Report SER - Statistical Extract Auto-Activity XXX ADV_A_OUT EBAL_DI 21 B004-0000-0457 05.01.00 2005.06.03 BBL_ADV Batch & Images "Regular Balancing Overflow" END OF WORKFLOW END_ANY_IN SER_E_OUT (*extension options) ( DI in proof ) SCU_DI_OUT (U,B) BBL_ADV SER TSR_T_OUT SER_E_IN ETI_OUT TSR BAL SCU_E_IN BAL_DI BAL_DI ETI_OUT ETI ETI ETI TSR_TS_IN END_T_IN 29 30 (*extension options) CRD_TS_E/O_OUT (R,U,A) Transaction Manager 2005 Standard Over-the-Counter (OTC) Workflow (*multiples possible) (B) ETI_IN 101 101 101 ETI_IN STG CRD_T_E/O_OUT CRD_E/K_OUT CRD_E_IN 13 CRD EIR_E_OUT STG_DI CTA_DI/DS 4 24 OCTA OCTA CTA 6 (B,U) - Rejected - Amount Required - Unbalanced - Supervisor Approval Req’d - Image Quality Suspects - Balanced CRD_T_K/*_OUT 25 Interaction DI Unit of Work States: R A U S Q B CTA_DI/B_IN EIR_D_OUT CTA_D/AP AK_DI EIR_D_IN EIR_E_IN 28 SIE 19 BIE_D_OUT BIE_E_OUT CLC SIE_T_IN BIE SIE_PUSH_T_OUT BIE_E_IN CLC_DI CON_D_IN BIE_D_IN 2 CPR_T_OUT 23 37 (R,Q) Activity EPU - Entry Processing CLC - Codeline Completion BAL - Balancing EBAL -Expert Balancing ADV - Advice Notices ESU - Encode & Sort CPR - Capture Reconciliation AK - Amount Keying # EPU ESU ESU_TS_IN 11 ESE ESU_TS ESU_T ** ESU_IN_T ** ESU_IN_TS ESU_T_IN 12 ETF_ANY_OUT ETF_ANY_OUT ETF_ANY_IN ETF_ANY_IN 9 10 "61: ESI IN" EPA_IN EPA_IN (R,A,Q) EPA_OUT (T) EPA_OUT (TS) ESI ** EPA_OUT (I/P_T) RSS_DI (A) CLC_DI * 35 36 SIE_TS_IN SIE_T_IN 7 (B,U) (A) 27 3 26 CPR_T/HO_IN CPR_TS/HO_IN SIE_TS_OUT SIE_T_OUT EIR 32 AK END_D_IN CRD_TS/HI_IN (*extension options) CRD_TS_K/*_OUT CRD_TS_E/O_OUT CRD_T_E/O_OUT CRD_E/K_OUT 72 ETI_IN 30 END_TS_IN END_T_IN TSR_TS_IN TSR_T_IN ETI_IN Transaction Manager 2005 B004-0000-0457 05.02.00 2005.06.03 TSR 20 ETI_OUT TSR_T_OUT SCU_DI_OUT 31 END_DI_IN ( DI in proof ) SCU_DI_OUT END OF WORKFLOW END_ANY_IN SER_E_OUT (*extension options) ( DI not in proof ) BBL_E_OUT BBL_DI_OUT EBBL BBL_E_IN SCU_E_IN 38 SCU 39 SCU_DI_IN BBL_E_OUT SER TSR_TS_OUT BBL_ADV BBL_DI_OUT SCU_E_OUT 73 BBL SER_E_IN ETI_OUT ETI_OUT BCTA_IN BCTA_IN 70 BBL_DI BBL_DI BBL_E_IN BBL_E_IN Block Balancing 8 78 BBL_ADV OBBL_E_IN ( DI in proof ) OSCU_DI_OUT 75 ( DI not in proof ) OSCU_DI_OUT OSCU_DI_IN OSCU OSCU_E_IN OSCU_E_OUT 77 OBBL_DI_OUT OBBL_DI_OUT OBBL_DI 74 OCTA_OUT OBBL_DI OEBBL OBBL_E_OUT OBBL_E_IN OBBL OBBL_E_OUT 76 OCTA_OUT ADV Offline Work OCTA OCTA OCTA ADV_A_OUT OCTA_OUT XXX Auto-Activity EPA - Entry Processing Autorole ACC - Auto Codeline Completion IQA - Image Quality Analysis RSSR - Recognition for Rejects RSSA - Reco for Amount Suspects STG - Stager SCU - Suspense Copy & Update CTA - Copy to AP CON - Consolidation ESE - Encode & Sort Export ESI - Encode & Sort Import BIE - Balanced Item Export SIE - Sub-pass Item Export EIR - Entry Item Report CRD - Coordination ETI - Export to Image Archive TSR - Tray Set Report SER - Statistical Extract PIE - Prime Item Export MIE** - Modified Item Export** **(for SuperMIRC only) ADV_A_IN OCTA_IN 21 Unencoded Large Deposit / Block Balancing Workflow ETI ETI ETI (*multiples possible) BCTA (B only) 101 101 101 ETI_IN 29 (B) (A,U) STG_E_OUT STG (not B) STG_E_OUT (*extension options) BCTA_OUT STG_DI STG_E_IN 71 - Rejected - Amount Required - Unbalanced - Supervisor Approval Req’d - Image Quality Suspects - Balanced BCTA_OUT CRD_E_IN 13 CRD 14 CRD_T_K/*_OUT 25 CRD_T/HI_IN EIR_E_OUT # Interaction DI Unit of Work States: R A U S Q B CTA_DI/DS 4 24 OCTA OCTA CTA 6 (B,U) Advice Notice xxx_ADV Entry xxx_E Tray Set xxx_TS Tray xxx_T Batch xxx_D Batch & Images xxx_DI Units of Work: CTA_DI/B_IN EIR_D_OUT CTA_D/AP AK_DI EIR_D_IN EIR_E_IN 28 SIE Activity EPU - Entry Processing CLC - Codeline Completion BAL - Balancing EBAL -Expert Balancing ADV - Advice Notices ESU - Encode & Sort CPR - Capture Reconciliation IQR - Image Quality Review AK - Amount Keying (ASV)** (Amount Suspect Validation) 19 BIE_D_OUT BIE_E_OUT CLC CPR_O/P_T/OUT CPR_TS_OUT CPR_T_OUT SIE_PUSH_TS_OUT SIE_PUSH_T_OUT BIE_E_IN SuperMICR may include MIE here BIE CON_D_IN BIE_D_IN 2 15 CPR_O/P_TS_IN 22 23 37 (R,Q) CPR_O/P_TS/OUT CPR CPR_T/IN CPR_TS/IN CON_E_OUT CON_D_OUT CON_E_IN RSS (B,U) CPR_O/P_T_IN 16 17 CON CON_TS/H_OUT CON_T/H_OUT ** EPA_OUT (I/P_TS) 60 1 CON_TS/J_OUT CON_T/J_OUT CON_TS_IN CON_T_IN (U,S,B) ACC "60: ESE ANY IN" 61 CON_T/K_OUT CON_TS/K_OUT EPA_OUT (TS) EPA_OUT (T) 80 (A) (U,S,B) ACC_DI IQA (R,Q) EPA_OUT (E) IQA_DI EPA 82 Image Quality Tests EPA_OUT (DI) EPU ESU ESU_TS_IN 11 ESE ESU_TS ESU_T ** ESU_IN_T ** ESU_IN_TS ESU_T_IN 12 ETF_ANY_OUT ETF_ANY_OUT 9 "61: ESI IN" EPA_IN EPA_IN (R,Q) EPA_OUT (T) EPA_OUT (TS) ESI ** EPA_OUT (I/P_T) (R,Q) CPR CPR_T/IN CPR_TS/IN CON_E_OUT CON_D_OUT CPR_O/P_TS_IN 22 * 35 SIE_TS_IN CPR_O/P_T/OUT CPR_O/P_TS/OUT CPR_TS_OUT 36 SIE_PUSH_TS_OUT 7 RSS_DI 27 26 EIR 32 CPR_T/HO_IN CPR_TS/HO_IN SIE_TS_OUT SIE_T_OUT 3 AK END_D_IN CRD_TS/HI_IN BCTA_OUT (*extension options) CRD_TS_K/*_OUT CRD_TS_E/O_OUT CRD_T_E/O_OUT CRD_E/K_OUT 72 ETI_IN 30 END_TS_IN END_T_IN TSR_TS_IN TSR_T_IN ETI_IN Transaction Manager 2005 TSR 20 ETI_OUT TSR_T_OUT SCU_DI_OUT 31 END_DI_IN ( DI in proof ) SCU_DI_OUT END OF WORKFLOW END_ANY_IN SER_E_OUT (*extension options) ( DI not in proof ) BBL_E_OUT BBL_DI_OUT EBBL BBL_E_IN SCU_E_IN 38 SCU 39 SCU_DI_IN BBL_E_OUT SER TSR_TS_OUT BBL_ADV BBL_DI_OUT SCU_E_OUT 73 BBL SER_E_IN ETI_OUT ETI_OUT BCTA_IN BCTA_IN 70 BBL_DI BBL_DI BBL_E_IN BBL_E_IN Block Balancing 8 78 BBL_ADV OBBL_E_IN ( DI in proof ) OSCU_DI_OUT 75 ( DI not in proof ) OSCU_DI_OUT OSCU_DI_IN OSCU OSCU_E_IN OSCU_E_OUT 77 OBBL_DI_OUT OBBL_DI_OUT OBBL_DI 74 OCTA_OUT OBBL_DI OEBBL OBBL_E_OUT OBBL_E_IN OBBL OBBL_E_OUT 76 OCTA_OUT ADV Offline Work OCTA OCTA OCTA ADV_A_OUT OCTA_OUT XXX Auto-Activity EPA - Entry Processing Autorole ACC - Auto Codeline Completion IQA - Image Quality Analysis RSSR - Recognition for Rejects RSSA - Reco for Amount Suspects STG - Stager SCU - Suspense Copy & Update CTA - Copy to AP CON - Consolidation ESE - Encode & Sort Export ESI - Encode & Sort Import BIE - Balanced Item Export SIE - Sub-pass Item Export EIR - Entry Item Report CRD - Coordination ETI - Export to Image Archive TSR - Tray Set Report SER - Statistical Extract PIE - Prime Item Export MIE** - Modified Item Export** **(for SuperMIRC only) ADV_A_IN OCTA_IN 21 B004-0000-0457 05.03.00 2005.06.03 Pre-Encoded / Block Balancing Workflow (with PIE) ETI ETI ETI (*multiples possible) BCTA (B only) 101 101 101 ETI_IN 29 (B) (A,U) STG_E_OUT STG (*extension options) BCTA_OUT STG_DI STG_E_IN 71 (not B) STG_E_OUT - Rejected - Amount Required - Unbalanced - Supervisor Approval Req’d - Image Quality Suspects - Balanced CTA_DI/DS 4 # Interaction DI Unit of Work States: R A U S Q B CRD_E_IN 13 CRD 14 CRD_T_K/*_OUT 25 CRD_T/HI_IN EIR_E_OUT 24 OCTA OCTA CTA 6 (B,U) Advice Notice xxx_ADV Entry xxx_E Tray Set xxx_TS Tray xxx_T Batch xxx_D Batch & Images xxx_DI Units of Work: CTA_DI/B_IN AK_DI EIR_D_OUT CTA_D/AP (A) EIR_D_IN (B,U) RSS (asv) EIR_E_IN 28 SIE Activity EPU - Entry Processing CLC - Codeline Completion BAL - Balancing EBAL -Expert Balancing ADV - Advice Notices ESU - Encode & Sort CPR - Capture Reconciliation IQR - Image Quality Review AK - Amount Keying (ASV)** (Amount Suspect Validation) 19 BIE_D_OUT 1 BIE_E_OUT SIE_T_IN BIE SIE_PUSH_T_OUT BIE_E_IN SuperMICR may include MIE here (B,U) (A) (A,U,B) CON_D_IN CLC PIE BIE_D_IN CLC_DI (R,Q) CPR_T_OUT 23 37 2 (A,U,B,S) 79 CON_E_IN RSSR (IQ known) CPR_O/P_T_IN 17 15 16 (A,U,B) For PIE Upload CON CON_TS/H_OUT CON_T/H_OUT CON_TS/J_OUT CON_T/J_OUT ** EPA_OUT (I/P_TS) 60 CON_T_IN CON_TS_IN RSSR_DI (R,Q) IQR 81 IQR_DI P_Entry 83 (A,U,B,S) ACC 10 ETF_ANY_IN ETF_ANY_IN ACC_DI Suspect IQ_HighPriority (A,U,B) ( PIE Upload, no IQ high priority suspects) "60: ESE ANY IN" 61 CON_T/K_OUT CON_TS/K_OUT EPA_OUT (TS) EPA_OUT (T) 80 IQA (R,Q) EPA_OUT (E) IQA_DI EPA 82 Image Quality Tests EPA_OUT (DI) EPU ESU ESU_TS_IN 11 ETF_ANY_OUT ESU_TS ESU_T ** ESU_IN_T ** ESU_IN_TS ESU_T_IN ESE ACC_DI ETF_ANY_IN ETF_ANY_IN 9 10 "61: ESI IN" EPA_IN EPA_IN (R,Q) EPA_OUT (T) EPA_OUT (TS) ESI ** EPA_OUT (I/P_T) 16 (A,U,B) CPR CPR_T/IN CPR_TS/IN CON_E_OUT CON_D_OUT 15 CPR_O/P_TS_IN CPR_O/P_T_IN 17 (R,Q) 22 * 35 SIE_TS_IN CPR_O/P_T/OUT CPR_O/P_TS/OUT CPR_TS_OUT 36 SIE_PUSH_TS_OUT 7 RSS_DI 26 EIR 32 CPR_T/HO_IN CPR_TS/HO_IN SIE_TS_OUT SIE_T_OUT 3 AK END_D_IN BCTA_OUT STG_DI (*extension options) CRD_TS_E/O_OUT CRD_TS_K/*_OUT ETI_IN TSR_TS_IN END_TS_IN END_T_IN 29 30 Transaction Manager 4.2 71 SCU_E_OUT ETI_OUT TSR 20 ETI_OUT TSR_TS_OUT TSR_T_OUT SER_E_IN SER BAL SCU_E_IN BAL_DI ETI_OUT 33 BAL_DI 31 SCU 39 (B) END_DI_IN ( DI not in proof ) 8 (U) 5 EBAL "Regular Balancing Overflow" SCU_DI_OUT END OF WORKFLOW END_ANY_IN SER_E_OUT (*extension options) ( DI in proof ) SCU_DI_OUT (U,B) BBL_ADV EBAL_DI BBL_ADV EPA - Entry Processing Autorole ACC - Auto Codeline Completion IQA - Image Quality Analysis RSSR - Recognition for Rejects RSSA - Reco for Amount Suspects STG - Stager SCU - Suspense Copy & Update CTA - Copy to AP CON - Consolidation ESE - Encode & Sort Export ESI - Encode & Sort Import BIE - Balanced Item Export SIE - Sub-pass Item Export EIR - Entry Item Report CRD - Coordination ETI - Export to Image Archive TSR - Tray Set Report SER - Statistical Extract PIE - Prime Item Export MIE** - Modified Item Export** **(for SuperMIRC only) Auto-Activity XXX ADV ADV_A_IN 21 B004-0000-0643 02.01.00 2006.09.07 ADV_A_OUT Pre-Encoded with Regular Batch Balancing Workflow ETI ETI ETI TSR_T_IN ETI_IN 101 101 101 ETI_IN (*extension options) CRD_T_E/O_OUT CRD_E/K_OUT (R,U,A) (*multiples possible) STG (B) - Rejected - Amount Required - Unbalanced - Supervisor Approval Req’d - Image Quality Suspects - Balanced CTA_DI/DS 4 # Interaction DI Unit of Work States: R A U S Q B CRD_E_IN 13 CRD 14 CRD_T_K/*_OUT 25 CRD_TS/HI_IN CRD_T/HI_IN EIR_E_OUT 24 OCTA OCTA CTA 6 (B,U) Advice Notice xxx_ADV Entry xxx_E Tray Set xxx_TS Tray xxx_T Batch xxx_D Batch & Images xxx_DI Units of Work: CTA_DI/B_IN AK_DI EIR_D_OUT CTA_D/AP (A) EIR_D_IN (B,U) RSS (asv) EIR_E_IN 28 SIE 27 Activity EPU - Entry Processing CLC - Codeline Completion BAL - Balancing EBAL -Expert Balancing ADV - Advice Notices ESU - Encode & Sort CPR - Capture Reconciliation IQR - Image Quality Review AK - Amount Keying (ASV)** (Amount Suspect Validation) 19 BIE_D_OUT 1 BIE_E_OUT SIE_T_IN BIE SIE_PUSH_T_OUT BIE_E_IN SuperMICR may include MIE here (B,U) (A) (A,U,B) CON_D_IN CLC PIE BIE_D_IN CLC_DI (R,Q) CPR_T_OUT 23 37 2 (A,U,B,S) 79 CON_E_IN RSSR (IQ known) For PIE Upload CON CON_TS/H_OUT CON_T/H_OUT ** EPA_OUT (I/P_TS) 60 CON_TS/J_OUT CON_T/J_OUT CON_TS_IN CON_T_IN RSSR_DI (R,Q) IQR 81 IQR_DI P_Entry 83 (A,U,B,S) ACC "60: ESE ANY IN" 61 CON_T/K_OUT CON_TS/K_OUT EPA_OUT (TS) ETF_ANY_OUT 12 80 Suspect IQ_HighPriority (A,U,B) ( PIE Upload, no IQ high priority suspects) EPA_OUT (E) (R,Q) IQA EPA_OUT (T) IQA_DI EPA 82 Image Quality Tests EPA_OUT (DI) 3 Configuration Manager Configuration Manager enables you to tell the system about the resources available to it. These resources include: ! station hardware, such as the EPUs, ESUs and IDTs ! applications, such as Image Capture, Balancing and Capture Reconciliation ! services, such as the DSs and IPCS ! parameter sets, which are also called application types ! storage spaces This chapter tells you how to start Configuration Manager and discusses the following Configuration Manager tasks: ! creating and modifying station groups, which includes naming a station group, then adding stations to it ! adding a workstation, which includes adding any adapters required, and assigning it a service resource, if applicable ! changing a workstation, which includes switching the identification, changing its type, and adding or deleting adapters ! deleting a workstation, which requires removing parameter sets and application software first ! managing storage spaces on the system, which includes freeing and initializing the databases ! adding and removing application software, which can be done by package and by station ! adding and removing parameter sets, which can be done by package and by station and includes assigning one or more stations to provide Host emulator and/or database services ! configuring the required IDTs with the Second Source Browser software and ImageMark Transaction Manager parameter set ImageMark Transaction Manager 4.2 System Administration 103 Chapter 3: Configuration Manager Starting Configuration Manager Starting Configuration Manager To start Configuration Manager from the Task Manager, choose Configuration Manager from the Utilities list. The system displays the Configuration Manager window. Configuration Manager Window 104 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Starting Configuration Manager Process Overview The basic process for configuring stations in ImageMark Transaction Manager is as follows: ! create station groups and assign the stations to them ! assign the required software and parameter sets to each station in each group The Order for Configuring When you configure the system by adding or deleting components with Configuration Manager, follow the order implied by these rules and recommendations: ! You must define a station group before you can configure any stations in it. ! You can add all of the stations to a station group before adding the software and parameter sets. However, before you add stations requiring database or sort simulator services from a different station group, you should ensure that the other group has been configured with the stations that provide the service. ! Before you add a parameter set, you must have configured the station(s) with the applicable software. ! Before you can delete a station group, you must remove all workstations assigned to that station group. ! Before you delete a workstation, you must first remove all parameter sets assigned to that workstation, then remove all application software assigned to that workstation. ! If your EPU is a 779x, sort simulator services must be run on the local host (to maintain the speed of the 779x). They cannot be obtained from a different station group. An instance of the sort simulator must be run on the transport controller box for each transport. ImageMark Transaction Manager 4.2 System Administration 105 Chapter 3: Configuration Manager Adding and Modifying a Station Group Adding and Modifying a Station Group This section describes how to add and modify station groups. A station group is a collection of work stations. The initial installation automatically creates a “system station group” that includes the BAP. You can use Configuration Manager to add another station group and to modify the original system station group, if required. For example, you may want to add a station group to organize the workstations that are normally used by a particular group of users. Planning Station Groups When ImageMark Transaction Manager is first installed, the system station group is automatically created, and the BAP is assigned to it. ESUs are manually assigned to the system group. Technically, you could assign all the other stations to this same group. However, we strongly recommend you organize the stations into smaller, logical groupings, so that Configuration Manager can offer you more reasonable default selections later in the configuration process. Each additional station group consists of one DS plus the following other stations: ! the EPU that sends document data and images to this DS ! the IDTs that access document data and images from this DS ! the DAP with which this DS interacts At a typical site, each DAP is assigned to up to three station groups. The following illustration shows a large site. Station groups 1 to 3 share DAP 1, groups 4 to 6 share DAP 2, and group 7 uses DAP 3. 106 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Group Sample Grouping Configuration Whatever scheme you use, you should record it so that when you need to change the configuration you are aware of all stations that might be affected by the change. ImageMark Transaction Manager 4.2 System Administration 107 Chapter 3: Configuration Manager Adding and Modifying a Station Group Viewing Station Groups To view the stations that are configured on a particular station group, choose Station Group > View. The system displays the View Station Groups dialog. View Station Groups Dialog Adding a Station Group To add a station group: 1 Choose Station Group > Add.... The system displays the Add Station Group dialog. Add Station Group Dialog 2 Type a name for the station group. The name can contain up to 30 alphanumeric characters including spaces. 3 Type a unique number for the station group, then choose OK. Configuration Manager adds the name to the list of defined physical station groups. 108 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Group Modifying a Station Group To change the name or number of a station group: 1 Choose Station Group > Modify.... The system displays the Modify Station Group dialog. Modify Station Group Dialog 2 Select the name of the station group to be changed, then choose Modify.... The system displays the Modify Station Group dialog. Modify Station Group Dialog 3 Change the name or number of the station group, then choose OK. The system updates the name and number selected station group in the Modify Station Group dialog. ImageMark Transaction Manager 4.2 System Administration 109 Chapter 3: Configuration Manager Adding and Modifying a Station Group Removing a Station Group Before you can remove a station group, you must first remove all workstations assigned to that station group. Then you can use the Remove command from the Station Group menu. To remove a station group: 1 Remove all stations that have been assigned to the station group. See “Removing a Station” on page 119. 2 Choose Station Group > Remove.... The system displays the Remove Station Groups dialog. Note: If the Remove command is not available, some stations have not been removed. Return to step 1. Remove Station Groups Dialog 3 Select the name of the station group to be removed, then choose OK. 4 At the confirmation dialog, choose Yes. The system removes the station group from the system. 110 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Adding and Modifying a Station Stations are added to the system and configured one at a time. The basic process for adding a station is as follows (detailed instructions are given in the following sections): ! Identify the station by giving it a name and number. ! Assign the station to a station group. ! Assign the station a station type. ! Exit from the Add Station dialog. Configuration Manager then rebuilds the system configuration. You can change a station’s configuration by: ! removing it from the system ! changing its name and number ! changing its type ! changing its adapter configuration ImageMark Transaction Manager 4.2 System Administration 111 Chapter 3: Configuration Manager Adding and Modifying a Station Adding a Station The Add Station dialog lists all station groups that have been defined for Capture. When adding a new station, you must assign it to one of these groups (if the station is a DAP, you may assign it to more than one group). The station identification includes a name and a number. This name and number should be consistent with the ones assigned when the existing stations were first installed. To add a station to the system: 1 Choose Station > Add.... The system displays the Add Station dialog. Add Station Dialog 2 Choose Browse... to locate a node name. The system displays the Select Computer dialog. 112 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Select Computer Dialog 3 Enter the station name, or select one from the list, then choose OK. The system returns to the Add Station dialog where the selected station name is populated into the Node Name and Station Name fields in the dialog. Note: You may change the station name if you wish. The name cannot have more than 30 characters and must not include “wildcard” characters such as ? and *. 4 Type the number of the station to be added in the Station Number field. This number can be any 2-digit number (from 1 to 99, inclusive). 5 Select the desired station group in the Options list within the Select station groups area of the dialog, then choose <<. The selected station group moves to the Selected list. 6 Select desired station type in the Options list within the Select station types area of the dialog, then choose <<. The selected station type moves to the Selected list. Note: You can assign more than one type to a station (for example, a station used as an EPU and as an ESU can be assigned both the Image Capture and Encode and Sort Station types). 7 When you are finished, choose OK. 8 At the confirmation dialog, choose Yes. The system creates the station. At this point, Configuration Manager automatically rebuilds the network configuration. Note: When a storage space is defined on the new station, it will have a status of “Free” in the Storage Space Manager dialog. ImageMark Transaction Manager 4.2 System Administration 113 Chapter 3: Configuration Manager Adding and Modifying a Station Modifying a Station's Attributes An installed and configured station has a name, an identifying number, a classification (type), and at least one network address. It is also assigned to a station group (a DAP may be assigned to more than one station group). You can change any of these attributes in the Modify/Remove Station dialog which lists all the stations and the attributes for a selected station. Changing a Station's Identification To modify a station’s name and number: 1 Choose Station > Modify/Remove.... The system displays the Modify/Remove Stations dialog. Modify/Remove Stations Dialog 2 Select the station you want to change, then choose Modify.... The system displays the Modify Station dialog for the selected station. This displays the station number and name, the station types assigned, the workgroup the station belongs to. 114 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Modify Station Dialog 3 Type the new station name and number in the Station name and Station number fields respectively, then choose OK. The system updates the station’s identification in the Modify/Remove Station dialog. ImageMark Transaction Manager 4.2 System Administration 115 Chapter 3: Configuration Manager Adding and Modifying a Station Changing Station Types To modify the station type(s): 1 Choose Station > Modify/Remove.... The system displays the Modify/Remove Stations dialog. 2 Select the station you want to change, then choose Modify.... The system displays the Modify Station dialog for the selected station. 3 To add a type: a Select the station type(s) in the Options list, then choose <<. The system moves the station type to the Selected list and is added to the list of types for the selected station. b 4 When you are finished adding types, choose OK. To remove a type: a Select the station type(s) in the Selected list, then choose >>. The system removes the type from the list of types for the selected station. Note: You cannot remove a station type if software that requires this type is installed on the station. b When you are finished removing types, choose OK. Changing Station Groups To modify the station group(s): 1 Choose Station > Modify/Remove.... The system displays the Modify/Remove Stations dialog. 2 Select the station you want to change, then choose Modify.... The system displays the Modify Station dialog for the selected station. To add a station group, do the following: a Select the station group(s) in the Options list, then choose <<. The system moves the station group to the Selected list and is added to the list of station groups for the selected station. b When you are finished adding station groups, choose OK. To remove a station group, do the following: a Select the station group(s) in the Selected list, then choose >>. The system removes the station group from the list of groups for the selected station. b 116 When you are finished removing station groups, choose OK. ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Switching EPUs or ESUs If a transport hardware problem occurs in the middle of a run, you may have to take the EPU or ESU offline even though there is work left to be done on it. In this case, ImageMark Transaction Manager has already associated the work with this particular station number, and the system expects to complete that work with the same station number information. To work around this problem, Configuration Manager lets you switch the station number of the offline EPU or ESU with the station number of another transport that is free. You can then finish your work on the other unit. Before You Begin Before switching transports please review the following: ! A transport station may only be switched with another transport station that is configured with the same application software. For example, a station that is configured to run an ESU application may only be switched with: ! another ESU ! an EPSU that is configured with the ESU software ! The transport station cannot already be switched with another station. ! If you have switched an EPU transport with an EPSU, you cannot run the EPSU as an ESU until you have switched the EPSU back to the original station ID. The same is true if you have switched an ESU with and EPSU: you cannot run an EPU application until you have switched the EPSU back to its original station ID. ! You must ensure that the active transport you want to switch to has properly completed its previous run. Switching a Transport To switch an EPU or ESU: 1 Ensure that operators exit from the Image Capture or Encode and Sort activity and sign-off their stations. Notes: 1 When signing-off Image Capture, do not end the entry. 2 3 When signing-off Encode and Sort, do not end the trayset. Choose Station > Switch Stations. The system displays the Switch Station Numbers dialog. It lists all the stations by name and number. ImageMark Transaction Manager 4.2 System Administration 117 Chapter 3: Configuration Manager Adding and Modifying a Station Switch Station Numbers Dialog 4 In the First Station list, select the EPU or ESU that you are taking out of service. 5 In the Second Station list, select the EPU or ESU that you are going to use instead. Note: You cannot switch a station that is already switched. To see if a station is switched, open the Modify/Remove Stations dialog. If the Current Station ID is different than the Original Station ID, then the station is currently switched with another station. 6 Choose Switch. The system switches the selected stations. Note: To ensure that the switch has been done correctly, display the Modify/Remove Stations dialog for the station you switched. Check the Original Station ID and Current Station ID fields and make sure that the numbers are different. Then record the change in your site configuration records. 7 Move all documents (in the hopper and pockets) from the failed transport to the working transport. 8 Start the destination transport. The recovery screen lists the last good item captured, and may ask the operator to re-run certain items. You can now use the new transport controller to run the work for the failed transport controller. Switching Back The procedure for switching back to the original transport is the same as above. 118 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Modifying a Station Removing a Station When you delete a station from the system configuration, you must first remove its parameter sets, then software. You should also consider the impact on other stations (for example, if you are deleting a station that provides a service to other stations, you must modify the other station configurations to receive the service from another source). To delete a station: 1 Remove any parameter sets that have been configured for that station. See “Adding and Removing Parameter Sets” on page 133. 2 Remove the software that has been configured for that station. See “Adding and Removing Application Software” on page 128. 3 Choose Station > Modify/Remove.... The system displays the following dialog, which lists the configured stations and displays information about the selected station. Modify/Remove Stations Dialog 4 Select the station that you want to delete. If the parameter sets and application software have been removed from the station, the Remove button becomes active. 5 Choose Remove. 6 At the confirmation dialog, choose Yes. The system removes the station from the list of station names. Note: If you try to remove a station (server) while any of the storage spaces on the station are in the “Freeing” or “Initializing” state, the system displays an error dialog indicating that the station cannot be removed until its state has changed. ImageMark Transaction Manager 4.2 System Administration 119 Chapter 3: Configuration Manager Managing Storage Spaces Managing Storage Spaces The Storage Space Manager allows the operator to initialize and free storage spaces in the system, depending on the status of each storage space. Storage Space Manager Dialog The Status column shows the status of each storage space. Each status indicates the following information about the storage space: ! Free: Storage space is free (storage space on all servers is free) ! Initializing: Storage space is in the initializing process (either whole storage space or storage space on selected servers) ! Initializing Failed: Storage space has failed the initialization process (at least one storage space on a server failed initialization) ! Initialized: Storage space has been successfully initialized and is ready to be associated with cycles (either whole storage space or storage space on included servers) ! In Use: Storage space is associated with at least one cycle (either whole storage space or storage space on included servers) ! In Use/Initializing: Storage space is associated with at least one cycle and the storage space on at least one of the excluded servers is in the initializing process ! Freeing: Storage space is in the freeing process (either whole storage space or storage space on selected servers) ! Freeing Failed: Storage space has failed the freeing process (at least one storage space on a server failed freeing) Note: A red asterisk (*) beside a storage space indicates that some servers have been excluded from the initialization for that particular storage space. The asterisk should disappear the next time this Storage Space is initialized. 120 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Managing Storage Spaces The Storage Space Manager also provides the following information: ! Initialize Date: Indicates what date the storage space was successfully initialized. ! Initialize Time: Indicates what time the storage space was successfully initialized. Note: If the storage space is initialized successfully after excluding a failed server and the user successfully initializes the storage space on the failed server later, the date and time shown does not change. If a storage space is not in either the “Initialized”, “In Use” or “In Use/Initializing” state, the date and time are blank. Storage Space Manager Security Access security checks have been added for the Storage Space Manager. Before using this tool to initialize and free storage spaces, you must be added to the Administration workgroup using Access Security Manager. Adding a User to the Administration Workgroup See “Modifying a User Account” on page 150. If the user has not been added to this workgroup, the system displays the following error message when they try to run the Storage Space Manager: Storage Space Manager Security Error ImageMark Transaction Manager 4.2 System Administration 121 Chapter 3: Configuration Manager Managing Storage Spaces Initializing a Storage Space You can initialize a storage space if: ! the Status column says the storage space is “Free” ! no other storage spaces have a status of “Freeing”, “Initializing”, or “In Use/Initializing” As a special case, a storage space can be initialized if it has both a status of .Initialized. and it is marked by a red asterisk (*). In all other cases, you must free the storage spaces before you can initialize them. See “Freeing a Storage Space” on page 124. Note: If you receive an error message while attempting to initialize a storage space, the status of the storage space changes to “Initialization Failed”. For more information about handling initialization errors, see “Troubleshooting Freeing and Initialization” on page 326. To initialize a storage space: 1 Choose Storage > Space Manager. The system displays the Storage Space Manager dialog. Storage Space Manager Dialog 2 Select a storage space, then choose Initialize.... The system displays the Initialize Storage Space dialog. This dialog serves as a progress monitor of each server during the initialization process of a storage space and as an interface from which users can exclude or attempt initializing of selected servers during a failed (or incomplete) state. 122 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Managing Storage Spaces Initialize Storage Space Dialog The Server Status column indicates if the server was made unavailable outside of the Storage Space Manager. The Status column provides the following status information as each storage space initializes: ! Initializing: Storage space on the server is in the initializing process ! Initializing Failed: Storage space on the server has failed the initialization process ! Initialized: Storage space on the server has successfully initialized ! In Use: Storage space has been initialized and is In Use (another server may not have had their storage space initialized successfully) ! Free: A new server has been added to the system and has not been initialized The Excluded column indicates if the server has been excluded from the initialization of the Storage Space by providing the following specifics: ! User Excluded: The user decided to exclude the server from the Initialization process ! Auto Excluded: The system excluded the server from the Initialization process. For example, if a DAP failed initialization and the user excluded it, all Data Servers that belong to the same Station group as the DAP must be excluded. 3 Select the server you want to initialize on the storage space, then choose Initialize.... Note: The server you choose must have at least one Storage Space Status on the server as “Initializing Failed” or “Free”, and its Server Status as “Available”. Otherwise, the system will not allow you to initialize the storage space. The system displays the Initialize dialog. This dialog lists only the servers with a status of “Initializing Failed”. ImageMark Transaction Manager 4.2 System Administration 123 Chapter 3: Configuration Manager Managing Storage Spaces Initialize Dialog 4 Select the server(s) from the list that you want to initialize, then choose Initialize. The system begins the initialization process for the selected servers. The system returns to the Initialize Storage Space dialog where the status of the selected servers changes to “Initializing”. When all servers are initialized successfully, the status of the storage space changes to “Initialized”. Note: If the storage space on all the servers that are not excluded is in the “Initialized” status, the status of the storage space in the Storage Space Manager dialog shall change to “Initialized”. Freeing a Storage Space A storage space may be freed if the following conditions are met: ! The storage space has a status of “In Use”. ! All cycles associated with the storage space are at the “End” state. ! No other storage spaces have a status of “Freeing”, “Initializing”, or “In Use/Initializing”. Besides the conditions described above, a storage space may also be freed in either of the following cases: ! The storage space is in the “Freeing” state. ! The storage space has a status of “Freeing Failed”, and no other storage spaces are in the “Freeing”, “Initializing” or “In Use/Initializing” state If you receive an error message while attempting to free a storage space, the status of the storage space will change to “Freeing Failed”. For more information on handling freeing errors, see “Troubleshooting Freeing and Initialization” on page 326. To free a storage space: 1 Choose Storage > Space Manager. 2 Select a storage space, then choose Free.... The system displays the Free Storage Space dialog. 124 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Managing Storage Spaces Free Storage Space Dialog The Storage Space Status column provides the following information about the storage space on each server: ! Freeing: The Storage space on the server is in the freeing process ! Freeing Failed: The Storage space on the server has failed the freeing process ! Free: The Storage Space on the server has been successfully freed A storage space can be freed if at least one storage space has a status of “Freeing Failed” and its server status is “Available”. 3 Select the server you want to free in the storage space, then choose Free…. The system displays the Free dialog. This dialog lists only the servers with a “Freeing Failed” status and whose server status is “Available”. Free Dialog 4 Select the server(s) from the list that you want to free, the choose Free. The system frees the selected server(s). The system returns to the Free Storage Space dialog where the status of the server(s) changes to “Freeing”. When all servers are freed successfully, the status of the storage space will change to “Free”. At any time, you can refresh the window to view the storage space as it updates by choosing Refresh. ImageMark Transaction Manager 4.2 System Administration 125 Chapter 3: Configuration Manager Managing Storage Spaces Excluding a Server in a Storage Space A server within a storage space can be excluded from the initialization process. Servers that can be excluded must have a storage space status of “Initializing Failed”, a server status of “Available”, and not have been excluded. Note: BAPs cannot be excluded from the system. To exclude a storage space: 1 Choose Storage > Space Manager. The system displays the Storage Space Manager dialog. Storage Space Manager Dialog 2 Select a storage space, then choose Initialize.... The system displays the Initialize Storage Space dialog. Initialize Storage Space Dialog 3 126 Select the server you want to exclude, then choose Exclude. ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Managing Storage Spaces The system updates the status of the selected server to “User Excluded” and is marked with a red * in the Storage Space Manager dialog. Note: Any sub-servers of the excluded server (e.g., a DS that is a sub-server of a DAP) will have a status of “Auto Excluded”. At any time, you can refresh the window to view the storage space as it updates by choosing Refresh. Monitoring the State of Storage Spaces The system continually monitors and updates the state of storage spaces using a monitoring script. The script makes a connection to each server on the list and verifies if the initializing or freeing process is still running. If the process is not running on a server, the monitoring script checks the %IMAGEMARK_ROOT%\opt\siips directory for an output file that was modified after the state of the storage space on the server was last changed to the “Initializing” or “Freeing” state. If the file exists (identified by server name and storage number), the monitoring script searched the file for errors. If an error message is found, the script will change the state of the storage space to “Initializing Failed” or “Freeing Failed”. If no error is found, the script will search the file for a success message. If a success message is found, the script will change the state of the storage space to “Initialized” or “Free”. ImageMark Transaction Manager 4.2 System Administration 127 Chapter 3: Configuration Manager Adding and Removing Application Software Adding and Removing Application Software Whether you add or remove software, you can do it in two ways: ! Select a package of software and configure it on one or more stations in a single operation. This is the best method to use if the same software is on several stations. ! Select a station and configure one or more packages on the one station in a single operation. This is the best method to use if you have just added a station or are removing just one station. If you are removing software from a station's configuration, you must remove any related parameter sets first. Configuring Software by Package A package consists of the software programs required to perform a particular activity (activity or auto-activity), such as Image Capture, or Balanced I-String Extract. Configuration Manager knows which packages can be configured on which types of stations. For example, it will not allow the EPU Image Capture software package to be configured on an IDT. However, it may allow it to be configured on an ESU since the ESU could have been configured as an EPU type also. Adding Software by Package Before adding software to the configuration, ensure that the software has actually been installed on the applicable stations. 1 Choose Software > By Package.... The system displays the Configure Software by Package dialog that lists all available software packages. Configure Software by Package The Stations where configured list is empty if a software package is selected, but not yet assigned to any station. 2 128 Select the package that you want to configure. ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Application Software The Stations where configured list displays the stations on which that package is already configured. 3 Choose Add.... The system displays the Add Package on Stations dialog. This dialog lists the names of any stations which do not have the selected software configured. Note: The Add Package on Stations dialog does not list a station of a type that is not allowed to use that software package. Add Package on Stations Dialog 4 Select the station(s) which are to be configured, then choose OK. 5 At the confirmation dialog, choose Yes. The stations you configured with the software package are listed in the Stations where configured list. ImageMark Transaction Manager 4.2 System Administration 129 Chapter 3: Configuration Manager Adding and Removing Application Software Removing Software by Package Before attempting to remove software by package from more than one station, ensure that the parameter sets have been removed from the stations. 1 Choose Software > By Package.... The system displays the Configure Software by Package dialog. Configure Software by Package Dialog 2 Select the package that is to be removed from the configuration of one or more stations. The Stations where configured list displays the names of stations which are configured with the selected package. 3 Select the station(s) from which you want to remove the software, then choose Remove. 4 At the confirmation dialog, choose Yes. The selected stations are removed from the Stations where configured list. 130 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Application Software Configuring Software by Station If you have added one station, use the By Station command from the Software menu to add the required software packages to the new station's configuration. Similarly, if you plan to delete a station, use this command to delete the software from the station. Adding Software By Station To add one or more packages of software to a station: 1 Choose Software > By Station.... The system displays the Configure Software by Station dialog that lists all the configured stations. Configure Software by Station Dialog 2 Select a station. The Packages list displays the packages already configured on the selected station in the Stations where configured list. 3 Choose Add.... The system displays the Add Packages on Station dialog. Add Packages on Station Dialog ImageMark Transaction Manager 4.2 System Administration 131 Chapter 3: Configuration Manager Adding and Removing Application Software 4 Select the software package(s) to be added to this station's configuration, then choose OK. 5 At the confirmation dialog, choose Yes. The selected software packages are added to the Packages list for that specific station. Removing Software Before removing software from a station configuration, ensure that the parameter sets have been removed from that station. 1 Choose Software > By Station.... The system displays the Configure Software by Station dialog. 2 Select a station. The Packages list displays the names of software already configured on the selected station in the Stations where configured list. 3 Select the software package(s) from the Packages list, then choose Remove. 4 At the confirmation dialog, choose Yes. The selected software packages are removed from the Packages list for that specific station. 132 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Parameter Sets Adding and Removing Parameter Sets Similar to the software procedure, you can add and remove parameter sets by package and by station, but only one set or station at a time. This restriction is because you must assign a service to each set/station. Some parameter sets are required by every station in the system. Others are exclusive to one type of station. Some parameters in some sets also require information from other services that may be located on other priority stations. You may need to modify the sources of services used by parameter sets on the various stations. For example, a server that provides services to many stations may become overloaded. If the same type of service is available from more than one server, you can change the server they use. Notes on Adding Parameter Sets These notes pertain to adding parameter sets either by station or by package Notes: 1 Since higher priority stations provide services to lower priority stations, we recommend that you configure stations in the following order: ! BAP ! DAP, which uses services provided by BAP ! DS, which uses services provided by DAP ! TSS and IDT, which use services provided by DAP and DS ! EPU and ESU, which provide services for themselves This makes the overall configuration easier because once you configure services for a higher priority station, the system will provide those services by default when you set up a lower priority station. 2 When adding parameters to a station, we recommend that you add their Application Services before adding their Application Components because once the services are configured, the system can use them to set defaults for the components. For example, when you add parameters to a new EPU, you have the following choices: ! Image Capture (the Application Component) ! Item Edits IPCS Service (the Application Service) In this case, add Item Edits IPCS Service first, then add Item Capture. This way, the system will automatically set up the Image Capture application to access services provided by Item Edits IPCS on the same EPU rather than accessing services provided by a remote station. ImageMark Transaction Manager 4.2 System Administration 133 Chapter 3: Configuration Manager Adding and Removing Parameter Sets Configuring Parameter Sets by Package You can add or remove parameter packages from a station using the By Package command from the Parameter Sets menu. Note: You can also use this command to view what stations have been configured with a specific parameter package. Adding a Parameter Set by Package To add a parameter set by package: 1 Choose Parameter Sets > By Package.... The system displays the Configure Parameter Sets by Package dialog. Configure Parameter Sets by Package Dialog 2 Select the application type from the Application list. 3 Select the package that is to be configured from the Packages list. The Stations where configured list displays the stations that have already been configured with this parameter set. 4 Choose Add.... The system displays the Add Parameter Sets dialog. The Available stations list shows the stations on which the selected parameter set can be configured. 134 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Parameter Sets Add Parameter Set Dialog 5 Select a station, then choose OK. The system displays the Services dialog. This dialog lists the services that are required by the parameter set being added. It also displays the name of the package, name of the station, service type, and status of the service that you selected. Services Dialog The Station list displays a station adapter name for each default service based on the following priority: ! loopback (if applicable to the service) ! stations in the current station group (secondary network, then primary) ! other stations (secondary network, then primary) Note: When you select a default service from the listed services, the Current station field below this list shows the current service that the station is using. If the name of this service is different than the name of the selected default service, it means that the station has been configured with a different station group. ImageMark Transaction Manager 4.2 System Administration 135 Chapter 3: Configuration Manager Adding and Removing Parameter Sets 6 If the default services are satisfactory, choose OK. Otherwise, do the following to select a different station: a Select a service class, then choose Edit.... The system displays the Select an Adapter dialog. This dialog lists the adapters for the stations that offer the selected service. Note: For effective response times, you should consider the total demand for these services on a station when deciding which station is to provide the selected service. Select an Adapter Dialog b Select an adapter name for the required service, then choose OK. The system updates the station for the selected service in the Services dialog. c 7 When you have completed defining the sources for services, choose OK. At the confirmation dialog, choose Yes. The system adds the selected parameter set to the station. Modifying Services By Package To modify a service by package: 1 Choose Parameter Sets > By Package.... The system displays the Configure Parameter Sets by Package dialog. 2 Select the application type from the Application list. 3 Select the parameter package you want to modify from the Packages list. The Stations where configured list displays the stations that have already been configured with this parameter set. 4 Choose Services.... The system displays the Services dialog. This dialog lists the name of the parameter set, the name of the station on which the set is configured, the services required by this parameter set, and the servers that are currently providing them. 136 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Parameter Sets 5 Select the service that you want the station to obtain from a different server, then choose Modify.... The system displays the Modify Services dialog. This dialog lists the adapter names of all servers of the type that you just selected. Modify Services Dialog 6 Select an alternative server from the Adapters list, then choose OK. The Services dialog displays the service and the name of the server that you selected. 7 When you are finished, choose OK. 8 At the confirmation dialog, choose Yes. The system updates the parameter set and places an ‘M’ in the Status column for the selected service. Removing a Parameter Set To remove a parameter set from a station: 1 Choose Parameter Sets > By Package.... The system displays the Configure Parameter Sets by Package dialog. 2 Select the parameter package that is to be removed from the configured stations. The Stations list displays the stations that have already been configured with this parameter set. 3 Select a station, then choose Remove. 4 At the confirmation dialog, choose Yes. The station on which the selected parameter set was configured is removed from the Stations where configured list. ImageMark Transaction Manager 4.2 System Administration 137 Chapter 3: Configuration Manager Adding and Removing Parameter Sets Configuring Parameter Sets by Station You can also add or remove a parameter set from a station with the By Station command. Note: You can also use this command to view what parameter sets are configured on specific stations. Adding a Parameter Set by Station When you add parameter sets by station, you also add any services that the parameter sets require. Note: Add services to stations before adding the other kinds of parameter sets. To add a parameter set by station: 1 Choose Parameter Sets > By Station.... The system displays the Configure Parameter Sets by Station dialog. Configure Parameter Sets By Station Dialog 2 Select a station from the Stations list. The Packages configured list displays the parameter set or sets already configured on the selected station. 3 Choose Add.... The system displays the Add Package on Station dialog. The Available packages list shows all the parameter sets available for the selected station's type. 138 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Parameter Sets Add Package on Station Dialog 4 Select a parameter set, then choose OK. The system displays the Services dialog. This dialog lists the services that are required by the parameter set being added. It also displays the name of the package and the name of the station that you had selected. Services Dialog The Station list displays a station adapter name for each default service based on the following priority: 5 ! loopback (if applicable to the service) ! stations in the current station group (secondary network, then primary) ! other stations (secondary network, then primary) If the default services are satisfactory, choose OK. Otherwise, do the following to select a different station: a To select a different station which is to provide the service, select a service class, then choose Edit.... ImageMark Transaction Manager 4.2 System Administration 139 Chapter 3: Configuration Manager Adding and Removing Parameter Sets The Select an Adapter dialog lists the adapter names for the stations that offer the selected service. Note: For effective response times, you should consider the total demand for these services on a station when deciding which station is to provide the selected service. Select an Adapter Dialog b Select an adapter name for the required service, then choose OK. The Services dialog displays the name of the servicing station after the service that you had selected. c 6 When you have completed defining the sources for services for each package being configured on the station, choose OK. At the confirmation dialog, choose Yes. The system displays the Configure Parameter Sets by Station dialog. The parameter sets you had selected now appear in the Packages configured list for the station you had selected. 140 ImageMark Transaction Manager 4.2 System Administration Chapter 3: Configuration Manager Adding and Removing Parameter Sets Modifying Services By Station 1 Choose Parameter Sets > By Station.... The system displays the Configure Parameter Sets by Station dialog. 2 Select a station from the Stations list. The Packages configured list displays the parameter set(s) already configured on the selected station. 3 Select the parameter package you want to modify from the Packages configured list. 4 Choose Services.... The system displays the Services dialog. This dialog lists the name of the parameter set, the name of the station on which this set is configured, the services that this set requires, and the servers that are currently providing these services. 5 Select the service that you want the station to obtain from a different server, then choose Modify.... The system displays the Modify Services dialog. Modify Services Dialog 6 Select a new server from the Adapters list, then choose OK. The Services dialog displays the service and the name of the server that you selected. 7 At the confirmation dialog, choose Yes. The system updates the parameter set with the new station and places an ‘M’ in the Status column for the selected service. ImageMark Transaction Manager 4.2 System Administration 141 Chapter 3: Configuration Manager Adding and Removing Parameter Sets Removing Parameter Sets 1 Choose Parameter Sets > By Station.... The system displays the Configure Parameter Sets by Station dialog. All stations are listed in the Stations list. 2 Select a station from the list. The Packages configured list displays the parameter set or sets already configured on that station. 3 Select a parameter set, then choose Remove. 4 At the confirmation dialog, choose Yes. The parameter set you removed no longer appears in the Packages configured list for the station you selected. 142 ImageMark Transaction Manager 4.2 System Administration 4 Access Security Manager This chapter tells you how to use the Access Security Manager to create, modify, and delete user accounts and assign permissions to use ImageMark Transaction Manager activities and services. ImageMark Transaction Manager 4.2 System Administration 143 Chapter 4: Access Security Manager Starting Access Security Manager Starting Access Security Manager To perform any of the tasks described in this chapter, you must use the ImageMark Transaction Manager Access Security Manager utility. To start Access Security Manager, proceed as follows: In Task Manager, choose Access Security Manager from the Utilities list. Note: If the Utilities list is not already displayed, choose Tasks > Utilities. The system displays the Access Security Manager window. Access Security Manager Window 144 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Workgroups Managing User Workgroups Every user working on the ImageMark Transaction Manager system must be assigned to a workgroup. Before you can create user accounts, you must therefore use Access Security Manager to create the workgroups themselves. Viewing Workgroups To view the workgroups that exist on the system, choose Workgroups > View. The system displays the View Workgroups dialog. View Workgroups Dialog ImageMark Transaction Manager 4.2 System Administration 145 Chapter 4: Access Security Manager Managing User Workgroups Creating a Workgroup To create a new workgroup: 1 Choose Workgroups > Add.... The system displays the Add Workgroup dialog. Add Workgroup Dialog 2 Type a name for the workgroup in the Workgroup Name field. 3 Type a number for the workgroup in the Workgroup Number field, then choose OK. The system adds the new workgroup. Modifying a Workgroup You may need to change the name or number of a workgroup if, for example, you are reorganizing the operators. To modify a workgroup: 1 Choose Workgroups > Modify.... The system displays the Modify Workgroup dialog. Modify Workgroup Dialog 2 Select a workgroup, then choose Modify.... The system displays the Modify Workgroup dialog. 146 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Workgroups Modify Workgroup Dialog 3 Type the new workgroup name in the New name field. 4 Type the new workgroup number in the New number field, then choose OK. 5 At the confirmation dialog, choose Yes. The system modifies the selected workgroup. Deleting a Workgroup Occasionally, you may need to remove a workgroup if, for example, you reorganized the operators into fewer workgroups. Note: A workgroup cannot be deleted if users are assigned to it. To delete a workgroup: 1 Choose Workgroups > Remove.... The system displays the Remove Workgroups dialog. Remove Workgroups Dialog 2 Select the workgroup(s) you want to remove, then choose Remove. 3 At the confirmation dialog, choose Yes. The system deletes the workgroup(s). ImageMark Transaction Manager 4.2 System Administration 147 Chapter 4: Access Security Manager Managing User Accounts Managing User Accounts Before anyone can work on an ImageMark Transaction Manager system, you must use Access Security Manager to create a user account for them. Each account will specify the user name, full name, description, and user ID. Note: Before you can create an ImageMark Transaction Manager user account, the user must have a Windows user account. Creating a User Account To create a new user account: 1 Choose Users > Add.... The system displays the Add User dialog. Add User Dialog 2 Choose Browse... to select a Windows user name. The system displays the Select User dialog. 148 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Accounts Select User Dialog 3 Select the location, then choose OK. The system returns to the Add User dialog where the selected user name is populated into the User name field. Add User Dialog With User Name Added 4 Type a user ID in the User ID field (a number from 0 to 999). Note: Full name and Description are provided by Windows. 5 Select a workgroup from the Select workgroup list, then choose OK. 6 At the confirmation dialog, choose Yes. The user is added to the system. ImageMark Transaction Manager 4.2 System Administration 149 Chapter 4: Access Security Manager Managing User Accounts Modifying a User Account You may need to change a user’s account if, for example, they change their name. You may also need to change someone’s password if they forget it. To modify a user account: 1 Choose Users > Modify/Remove.... The system displays the Modify/Remove User dialog. Modify/Remove User Dialog 2 Select the user whose account you want to modify, then choose Modify.... The system displays the Modify User dialog. Modify User Dialog 3 Type the user’s new ID in the Modify user ID field. 4 Select a new workgroup from the Modify workgroup list box. 5 Choose OK. The system modifies the user account with the new user ID and workgroup. 150 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Accounts Deleting a User Account Delete a user account whenever that user permanently leaves the workgroup, for example, if they leave the company or get transferred to another department. To delete a user account: 1 Choose Users > Modify/Remove.... The system displays the Modify/Remove User dialog. 2 Select the user you want to remove, then choose Remove. 3 At the confirmation dialog, choose Yes. The system deletes the selected user account. User Passwords and Security Procedures In the ImageMark Transaction Manager Operations course, operators learn how to perform the following security-related procedures: ! signing on with their user name and password ! locking their terminal when leaving on a break ! signing off at the end of their shift As system administrator, you may wish to establish site-specific policies to ensure that these procedures are followed. ImageMark Transaction Manager 4.2 System Administration 151 Chapter 4: Access Security Manager Managing User Permissions Managing User Permissions Once you have created users’ accounts, you must assign them permissions for the activities and services they need to use. There are two ways to assign permissions: ! By user: one user at a time, assigning permissions for each activity or service that user needs ! By activity: one activity (or service) at a time, assigning permissions to all of the users who need it. Assigning Permissions by User To assign permissions by user: 1 Choose Permissions > By User.... The system displays the Assign Permissions by User dialog. Assign Permissions by User Dialog 2 From the Users list, select the user to whom you want to assign permissions. The Activities Permitted list is updated to show the activities for which this user already has permissions. 3 Choose Add.... The system displays the Add Permissions by User dialog. 152 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Permissions Add Permissions by User Dialog 4 Select the application you want to use from the Applications list box. 5 Select the activity or service you want to assign the user permissions to, then choose OK. Note: You may choose more than one activity or service. The activity or service is added to the user’s Activities Permitted list. ImageMark Transaction Manager 4.2 System Administration 153 Chapter 4: Access Security Manager Managing User Permissions Assigning Permissions by Activity To assign permissions by activity: 1 Choose Permissions > By Activity.... The Assign Permissions by Activity dialog appears. Assign Permissions by Activity Dialog 2 Select the application you want to use from the Applications list box. 3 Select the activity or service for which you want to assign permissions. Note: You may choose both a service and an activity. The Current users list is updated to show who already has permission to use this activity or service. 4 Choose Add.... The system displays the Add Permissions by Activity dialog. 154 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Permissions Add Permissions by Activity Dialog 5 Select the user(s) to whom you want to give permission to use the selected activity or service, then choose OK. The users for the selected activity or service are added to the Current users list. ImageMark Transaction Manager 4.2 System Administration 155 Chapter 4: Access Security Manager Managing User Permissions Removing Permissions by User To remove a user’s permissions for one or more activities or services: 1 Choose Permissions > By User.... The system displays the Assign Permissions by User dialog. Assign Permissions by User Dialog 2 Select the user for whom you want to remove permissions. The Activities Permitted list is updated to show the activities and services for which this user currently has permissions. 3 Select an activity or service for which you want to remove this user’s permission, then choose Remove. 4 At the confirmation dialog, choose Yes. The selected service or activity is removed from the Activities Permitted list. 156 ImageMark Transaction Manager 4.2 System Administration Chapter 4: Access Security Manager Managing User Permissions Removing Permissions by Activity To remove a user’s permissions for one or more activities or services, proceed as follows. 1 Choose Permissions > By Activity.... The system displays the Assign Permissions by Activity dialog. Assign Permissions by Activity Dialog 2 Select the activity or service for which you want to remove permissions. The Current users list is updated to show who already has permission to use this activity or service. 3 Select the user(s) for whom you want to remove permissions to the selected activity or service, then choose Remove. 4 At the confirmation dialog, choose Yes. The selected user(s) is removed from the Current users list for the selected activity or service. ImageMark Transaction Manager 4.2 System Administration 157 Chapter 4: Access Security Manager Managing User Permissions 158 ImageMark Transaction Manager 4.2 System Administration 5 Reports ImageMark Transaction Manager offers a wide variety of reports. The reports fall into these categories: ! end-of-cycle reports ! operator performance reports ! auto-activity reports Note: There is one report that does not fall into any of these categories. For details, see “To locate and print the Modified Item Export report:” on page 254. End-of-cycle reports and operator performance reports are printed by the Report utility, while autoactivity reports are generated and printed automatically or manually by the command line. You can change the reporting period for operator statistics using the set_rpt_defn.pl utility. Instructions are included in this chapter. This chapter tells you how to use the Report utility to select and print the end-of-cycle and operator performance reports and to generate and print auto-activity reports. This chapter also provides detailed descriptions of all reports. Note: Report samples are included in Appendix A. ImageMark Transaction Manager 4.2 System Administration 159 Chapter 5: Reports Changing Reporting Periods Changing Reporting Periods You can change the reporting periods used to generate operator performance reports. This lets you ensure that these reports take into account such site-specific variables as hours of operation, and different operators working different shifts. rptperiod.cfg_sample file # These default values represent a reporting period for each # normal working day plus one for the weekend NumOfPeriods = 6 RptPeriodNum = 1 RptPeriodName = “Monday” StartDay = 1 StartTime = 10:00 RptPeriodNum = 2 RptPeriodName = “Tuesday” StartDay = 2 StartTime = 10:00 RptPeriodNum = 3 RptPeriodName = “Wednesday” StartDay = 3 StartTime = 10:00 RptPeriodNum = 4 RptPeriodName = “Thursday” StartDay = 4 StartTime = 10:00 RptPeriodNum = 5 RptPeriodName = “Friday” StartDay = 5 StartTime = 10:00 RptPeriodNum = 6 RptPeriodName = “Weekend” StartDay = 6 StartTime = 10:00 This sample file defines 6 reporting periods: one for each weekday, plus one for the weekend. This is typical of a traditional OTC Capture environment, where reports are printed at end of day. 160 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Changing Reporting Periods Example In the following example, the sample configuration file has been modified to include 14 reporting periods (2 per day). This represents a typical 24-hour ImageMark environment. Errors detected across reporting periods will be reflected in the operator statistics reports. modified rptperiod.cfg file # These default values represent 2 reporting periods for each # day of the week NumOfPeriods = 14 RptPeriodNum = 1 RptPeriodName = “Monday Noon to Monday Midnight” StartDay = 1 StartTime = 12:00 RptPeriodNum = 2 RptPeriodName = “Monday Midnight to Tuesday Noon” StartDay = 1 StartTime = 24:00 RptPeriodNum = 3 RptPeriodName = “Tuesday Noon to Tuesday Midnight” StartDay = 2 StartTime = 12:00 RptPeriodNum = 4 RptPeriodName = “Tuesday Midnight to Wednesday Noon” StartDay = 2 StartTime = 24:00 RptPeriodNum = 5 RptPeriodName = “Wednesday Noon to Wednesday Midnight” StartDay = 3 StartTime = 12:00 RptPeriodNum = 6 RptPeriodName = “Wednesday Midnight to Thursday Noon” StartDay = 3 StartTime = 24:00 RptPeriodNum = 7 RptPeriodName = “Thursday Noon to Thursday Midnight” StartDay = 4 StartTime = 12:00 RptPeriodNum = 8 RptPeriodName = “Thursday Midnight to Friday Noon” StartDay = 4 StartTime = 24:00 ImageMark Transaction Manager 4.2 System Administration 161 Chapter 5: Reports Changing Reporting Periods RptPeriodNum = 9 RptPeriodName = “Friday Noon to Friday Midnight” StartDay = 5 StartTime = 12:00 RptPeriodNum = 10 RptPeriodName = “Friday Midnight to Saturday Noon” StartDay = 4 StartTime = 24:00 RptPeriodNum = 11 RptPeriodName = “Saturday Noon to Saturday Midnight” StartDay = 6 StartTime = 12:00 RptPeriodNum = 12 RptPeriodName = “Saturday Midnight to Sunday Noon” StartDay = 6 StartTime = 24:00 RptPeriodNum = 13 RptPeriodName = “Sunday Noon to Sunday Midnight” StartDay = 7 StartTime = 12:00 RptPeriodNum = 14 RptPeriodName = “Sunday Midnight to Monday Noon” StartDay = 7 StartTime = 24:00 In this example: ! operator 1 works 2:00 p.m. to 10 p.m., but some of this work is not balanced until after midnight ! operator 2 works 6:00 p.m. to 2:00 a.m. ! operator 3 works 12:00 a.m. to 8:00 a.m. After reporting period 1, the 1st report would include: ! data for operator 1 ! some data for operator 2 After reporting period 2, the 2nd report would include: ! any errors found for operator 1 ! some data for operator 2 ! data for operator 3 The data in each report is mutually exclusive. Therefore, the data for operator 1 contained in the 2nd report would include only the errors found at balancing after midnight. 162 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Changing Reporting Periods How To Change Reporting Periods To change reporting periods: 1 Copy %IMAGEMARK_ROOT%\opt\siips\rptperiod.cfg_sample to rptperiod.cfg on the BAP. 2 Modify rptperiod.cfg to meet your site’s needs (see example above). 3 Run set_rpt_defn.pl. The utility makes the necessary updates. ImageMark Transaction Manager 4.2 System Administration 163 Chapter 5: Reports Starting Reports Utility Starting Reports Utility The Reports utility allows you to select and print the end-of-cycle reports and operator performance reports. To start the Reports utility: 1 In Task Manager, choose Tasks > Applications. 2 From the Applications running list, choose the name of the application for which you want to generate reports. The system updates the Application activities list. 3 Choose Reports Utility from the Application activities list. The system displays the Reports utility window. Reports Utility Window 164 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports Printing Reports Automatically Printing or Saving Reports The Automatic Report Print utility generates all end-of-cycle reports and Operator Performance reports in one step. The type of reports to print, and the print destination (printer or file), are specified in the rptutil.dat file, under the RPT_UTIL_GEN keyword. To run the Automatic Report Print utility: 1 Choose File > Automatic Print.... The system displays the confirmation dialog. Confirmation Dialog 2 At the confirmation dialog, choose Yes. The system processes the reports. In addition to being able use the Report utility to automatically print or save end-of-cycle reports and operator performance reports, you can also initiate the process from the command line using the autorpt Perl script. For details, contact NCR Support. ImageMark Transaction Manager 4.2 System Administration 165 Chapter 5: Reports Printing Reports Manually Printing End-of-Cycle Reports To manually print a report or save it as a file: 1 Choose File > Print > End Of Cycle Reports.... The system displays the Print End Of Cycle Report(s) dialog. Print Report(s) Dialog for End-of-Cycle Reports 2 Select the report that you want to print or save, then choose Options. The system displays the Options dialog for end-of-cycle reports. Note: Although all print options are enabled for all reports, some options have no effect on some reports. 166 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports Print Options Dialog for End-of-Cycle Reports 3 In the Cycles list, specify whether you want the report to include all cycles or one of the listed cycles. This list is restricted to cycles with a state of Open, Closed, or End. Note: If “All” is selected, then all cycles with a state of Open, Closed, and End will be used in the report. 4 In the Database hosts list, specify whether you want the report to include data for all hosts or one of the listed hosts. 5 In the Printer list, select the desired printer queue to print the report or select FILE to save the report as a file. (The filename reflects the report type. By default, the file is saved under the directory %IMAGEMARK_ROOT%\opt\siips\archive.) 6 Choose OK. 7 In the Print Report(s) dialog, choose Print. The system proceeds to print or save the reports. ImageMark Transaction Manager 4.2 System Administration 167 Chapter 5: Reports Printing Reports Manually Printing Operator Performance Reports To manually print a report or save it as a file: 1 Choose File > Print > Operator Statistics.... The system displays the Print Operator Statics dialog. Print Report(s) Dialog for Operator Performance Reports 2 Select the report that you want to print or save, then choose Options. The system displays the Options dialog for operator performance reports. Note: Although all print options are enabled for all reports, some options have no effect on some reports. 168 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports Print Options Dialog for Operator Performance Reports 3 In the Reporting period list, select the reporting period(s) you want to print. Note: To help you find the desired reporting period, the Reporting period list box provides additional information for each reporting instance, such as the start date and start time. 4 In the Workgroups list, specify whether you want the report to cover all workgroups or one of the listed workgroups. 5 In the Printer list, select the desired printer queue to print the report or select FILE to save the report as a file. (The filename reflects the report type. By default, the file is saved under the directory %IMAGEMARK_ROOT%\opt\siips\archive.) 6 Choose OK. 7 In the Print Report(s) dialog, choose Print. The system proceeds to print or save the reports. ImageMark Transaction Manager 4.2 System Administration 169 Chapter 5: Reports Printing Reports Deleting Generated Reporting Periods for Operator Statistics Once you have generated an operator performance report, you have the option to delete the reporting period(s) that were generated or printed in the report. Note: For more information on Delete Cycle, refer to “Managing Cycles” and “Modifying Cycles” in chapter 2: Application Manager. For information on changing the reporting periods used to generate operator performance reports, refer to “Changing Reporting Periods”, earlier in this chapter. To delete the generated reporting period statistics: 1 Choose File > Delete Statistics. The system displays the Delete Statistics dialog. The dialog lists all reporting periods that have been previously printed. Delete Statistics Dialog 2 Select the reporting period you wish to delete, then choose Delete. The system displays the Options dialog for end-of-cycle reports. Note: An error dialog may appear warning you that reports have not been generated for the selected reporting period. Choose Cancel if you do not wish to delete the reporting period or choose OK to proceed in deleting the reporting instance. 170 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports Viewing Print Jobs You can display a list of the reports that have been sent to the printer to see, for example, if a report was printed or if other reports are ahead of it in the print queue. To view the print jobs, choose Status > Print Jobs. Print Job Status Dialog The system lists the reports and displays one of the following statuses for each report: ! Processing ! Spooled ! Failed ! Deleting ! Deleted The system does not automatically remove spooled, deleted, or failed print jobs from this dialog. To remove these jobs: 1 Select the print job you want to remove, then choose Clear. 2 At the confirmation dialog, choose Yes. ImageMark Transaction Manager 4.2 System Administration 171 Chapter 5: Reports Printing Reports Reports Could Not Be Generated If a report fails to generate, the following dialog will appear after you choose Print: Report Printing Status Dialog 1 Choose Close. 2 To fix this problem and regenerate the report: a Check if the Print Manager service is running. If it is not, start the Print Manager service. b Ensure the parameter entry in the rptutil.dat file is as mentioned in the ImageMark Transaction Manager Parameter Generation: Application Generator manual. c Change to the %IMAGEMARK_ROOT%\bin directory d Run podrpts. The report should now generate successfully. 172 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports Viewing Reports To view an end-of-cycle report or operator performance report on screen after it has been printed or saved to a file: 1 Choose File > Files.... The system displays the Report File Selection dialog, which lists the available reports. Report File Selection Dialog 2 Select the desired report, then choose View. The system displays the report in Notepad. Use the scrollbars to view the rest the report if it is too big for the window. Cancelling Print Jobs A print job can be cancelled only when the status of the print job is in “Processing”. To cancel a print job that is processing (waiting to be printed): 1 Choose Status > Print Jobs. The system displays the Print Job Status dialog. 2 From the list of print jobs, select the one that you want to cancel, then choose Delete. 3 At the confirmation dialog, choose Yes. The system cancels the selected print job. ImageMark Transaction Manager 4.2 System Administration 173 Chapter 5: Reports Printing Reports Printing End-of-Cycle Reports After the End of the Cycle You can use Windows Task Scheduler to print the end-of-cycle reports after the end of the processing cycle. To print the end-of-cycle reports using Windows Task Scheduler: 1 Choose Start > Settings > Control Panel > Scheduled Tasks > Add Scheduled Task. The system displays the Scheduled Task wizard. 2 Choose Next. 3 Select autorpt from the list, then choose Next. 4 Use the wizard to specify your desired print frequency, then choose Finish. The end-of-cycle reports print to the printer defined for each individual report on the BAP. Printing Reports Before the End of the Cycle Once the entire cycle’s work has been processed, you should print all of the reports generated with the Report utility. During the cycle, you can also print any of the following reports: ! Unresolved Suspense Items report ! Research Items - Exception Items in Kill Pocket report ! Truly Missing and Free report Note: If you print any of these reports before the end of the cycle, the report may show data for only those entries that have been completely processed. To determine which entries have been completely processed, proceed as follows: 1 Open Application Manager. 2 Choose Application > Display.... The system displays the Display Application dialog. 174 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports Display Application Dialog 3 Select the application instance that you want to display, then choose OK. The system displays the Application Display window. 4 Choose View > Work In Progress. The system displays the Work In Progress dialog. Work In Progress Dialog 5 Choose Entry from the Unit of work type list box. The entries that have been completely processed show a value of END ANY IN in the Interaction column and Available in the State column. ImageMark Transaction Manager 4.2 System Administration 175 Chapter 5: Reports Printing Reports Printing Auto-Activity Reports on Request Auto-activity reports print automatically, but there are two commands that you can run on the DAP to print out Entry Item and Tray Set reports on request. See “Printing Entry Item Reports” on page 178 and “Printing Tray Set Reports” on page 180. For example, you might use these commands to: ! print a second copy of a set of reports that has already been printed once automatically ! print a set of these reports that did not get printed automatically, for any of the following reasons: ! the printer ribbon is faded and the report is unreadable ! the printer paper is jammed, causing lines to be printed on top of each other Note: These commands print out all Entry Item and Tray Set reports that are enabled in the report parameters for the current application type. For more details, see the report parameter information in ImageMark Transaction Manager Parameter Generation: ASCII Files. The following sections tell you: ! how to determine which DAP to run these commands on (if your system has more than one DAP) ! how to run these commands Identifying the DAP and Tray Set ID If your system has only one DAP, skip this procedure. Otherwise, you must run the EIR and TSR print commands on the DAP that processed the entry in question. To identify this DAP: 1 In the Application Display window, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 In the Unit of work type list box, select Entry. The system displays the units-of-work classified under the Entry type. 3 Select the entry for which you want to print Entry Item or Tray Set reports, then choose UoW Details. The system displays the Unit-of-Work Details dialog. 176 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports UoW Details Dialog 4 Find the DAP server ID, write it down, then choose Close. 5 To determine the station name from the DAP server ID on the system: a Run dbaccess with the database name (for example, dbaccess siips_base). b Exit dbaccess. When printing tray set reports, you need to determine the ID of the tray set for which you want to print the report. To find the Tray Set ID: 1 In the Application Display window, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 Set the Unit of work type to Tray Set. The system displays the units-of-work classified as a Tray Set type. 3 Select the Exception tray set from the list, then choose UoW Details. The system displays the Unit-of-Work Details dialog. 4 Find the Tray Set ID, write it down, then choose Close. ImageMark Transaction Manager 4.2 System Administration 177 Chapter 5: Reports Printing Reports Printing Entry Item Reports You can print a complete set of Entry Item reports for any entry on request. But to make sure the reports are meaningful, do not print them until the entry has been processed past the BIE autoactivity at least. (Use the Work In Progress dialog to check this.) To print the Entry Item reports for an entry: 1 Log on to the DAP. (If your system has more than one DAP, use the one that you have identified as described in “Identifying the DAP and Tray Set ID” on page 176.) 2 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. Work In Progress Dialog 3 Select the Entry unit-of-work from the list, then choose UoW Details. The system displays the UoW Details dialog. 178 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports UoW Details Dialog 4 Note the Entry Key displayed on this screen. 5 Type eirPrint apptype EntryKey where: ! apptype is the name of the subdirectory under %IMAGEMARK_ROOT%\opt\siips\classa that contains the parameter files for the current application type; ! EntryKey is the number you obtained from the Unit of Work Details dialog. The system displays a message asking you to confirm. 6 Choose Yes. The system prints the Entry Item reports for that entry. ImageMark Transaction Manager 4.2 System Administration 179 Chapter 5: Reports Printing Reports Printing Tray Set Reports You can print Tray Set reports on request for any set of exception trays that has been processed by the Tray Set Reports auto-activity: To print the Tray Set reports for an entry: 1 Log on to the DAP that processed this tray set’s entry. (If your system has more than one DAP, use the one that you have identified as described in “Identifying the DAP and Tray Set ID” on page 176.) 2 Type tsrPrint apptype TraySetID where: ! apptype is the name of the subdirectory under %IMAGEMARK_ROOT%\opt\siips\classa that contains the parameter files for the current application type ! TraySetID is the tray set ID that you looked up previously If the Printer Fails If the system printer fails and is out of service, redirect the Entry Item and Tray Set reports to spool so that the system can finish processing the units of work in progress. To redirect the reports, see “Managing the Print Spooler” on page 64. Printing ATM Reports You can now generate and print ATM reports that include matched records only. ATM reports are generated at end-of-cycle using a command-line script (not the GUI-based Report utility). Command Usage This command has the following usage: ssreport.pl -a class_name/app_type_name [-p path_string] [-h] [-D] [-w work_type] [-M] where: 180 ! class_name is the name of the subdirectory under %IMAGEMARK_ROOT%\opt\siips\classa that contains the parameter files for the current application type ! app_type_name is the name of the directory from which to get parameters ! -p path_string says to place the files in the directory path_string ! -h displays a help screen. ! -D turns on the debug output. ! -w work_type lets you specify a type of work to include in the SSD files (to be included in the reports). These are the work types: ! 0 – OTC POD ! 1 – OTC POD with SMM ! 2 – ATM ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Printing Reports ! ! 3 – BTM) -M specifies to include matched records only Printing Matched Records Only To print reports showing matched records only: 1 Log on to the BAP. 2 Type ssreport.pl -a <class_name/app_type_name> -M ImageMark Transaction Manager 4.2 System Administration 181 Chapter 5: Reports End-of-Cycle Reports End-of-Cycle Reports When you generate the end-of-cycle reports after the system has processed all of the cycle’s work, they provide a complete overview of a cycle’s work. The main categories of end-of-cycle reports are as follows: 182 ! Adjustment Summary report ! Amount Suspect Summary report ! ATM reports ! Audit reports ! Automatic Codeline Completion Statistics report ! BIE, EIE, and SIE Deadline reports ! BTM reports ! Bundle List report ! Daily Corrections Export reports ! EPU Exception Item reports ! Forced Adjustment report ! Image Quality reports ! Items Aged Out report ! Items Not Received report ! Items Pull reports ! Non-Negotiable Items report ! Pocket Listing report ! Recognition Performance Statistics reports ! RIR Document Distribution report ! Second Source Match and Merge Performance Summary report ! Truly Missing and Free report ! User Permission and Login Information report ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Adjustment Summary Report This report shows the total number of adjustments per entry, broken down by adjustment reason code. This lets you see how many adjustments operators are making and for what reason. The following columns are displayed: ! Entry: the number of the entry in which the adjustment was made ! Block: the number of the block in which the adjustment was made ! # Adjustments: number of adjustments made within this entry for this particular reason ! Adj. Code: adjustment reason code, followed by the adjustment name ! Account Number: the number of the customer account that was adjusted Totals are given for each entry. A grand total for the cycle is also given. Amount Suspect Summary Report This Block Balancing report lists items with suspect amounts. There is one section for each cycle. For each entry per cycle, the following information is given: ! Total Items: total number of items processed ! Total AK: total number of items presented at Amount Keying ! Total Misread: number of misread MICR amounts ! Misenc: number of misencoded amounts ! Miskey: number of miskeyed amounts ! Less Digits: number of items with too few digits ! Less Dig Wrong: number of items with too few digits AND incorrect amounts ! Key at CLC: number of amounts keyed at Codeline Completion ! Key at AK: number of amounts keyed at Amount keying ! Block BAL: number of amounts changed at Balancing ! Items SUSP: number of items moved to the Suspense Pool ! Showouts Adjust: number of showouts ! Reclass Non-proof: number of items reclassified to non-proof The last section of the report gives the total number of each type of adjustment that was made. ImageMark Transaction Manager 4.2 System Administration 183 Chapter 5: Reports End-of-Cycle Reports ATM Reports ImageMark Transaction Manager provides reports that support ATM Envelope Balancing. Note: ATM reports are generated at end-of-cycle using a metascript command (not the Report utility). For instructions on running this command, contact NCR Professional Services. There is one report that operators use: ! Unmatched ATM Envelope Report And, there are several reports that operators do not view: ! Processed Envelopes in Posting Sequence report ! Processed Envelopes by Transaction Number Sequence report ! ATM Adjustments File report Unmatched ATM Envelope Report Operators use this report to research ATM envelope deposits that were not received at the bank for processing. Information is grouped as follows: ! By ATM Number: all unmatched envelopes from this ATM, with totals at the end ! By Posting Date: all ATM groupings for this posting date, with grand totals at the end For each item, the report shows: ! Trans Date: date of the ATM transaction ! Trans Time: time of the ATM transaction, in 24-hour format (HH:MM:SS) ! Trans Num: identification number assigned to that transaction ! Card Number: number of the bank card used to complete the transaction ! Type: type of transaction. Can be any of the following: ! DDA Deposit ! SAV Deposit ! Foreign Deposit ! Payment ! Account Number: customer account used for the transaction ! Amount: amount of the deposit or payment ! FIID: Financial Institution Identification (Account Owning Bank Number) ! Ref: a bank-specific reference field The following totals are given for each ATM: ! Total # envelopes: number of unmatched envelopes deposited at this ATM ! Total amount: dollar total of all unmatched envelopes deposited at this ATM The following totals are given for each Posting Date: ! 184 Grand total # envelopes: number of unmatched envelopes deposited at all ATMs on this posting date ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports ! Grand total amount: dollar total of all unmatched envelopes deposited at all ATMs on this posting date Processed Envelopes in Posting Sequence Report This report is created by Perl scripts which filter the Second Source data file. The Second Source data file is produced by an end-of-cycle utility, to be used by the Second Source Browser. The format of this report is determined by the Second Source file. This report: ! is sorted by ATM number, Entry number, Transaction date, and Transaction time ! contains sections for each unique ATM number Processed Envelopes by Transaction Number Sequence Report This report is created by Perl scripts which filter the Second Source data file. The Second Source data file is produced by an end-of-cycle utility, to be used by the Second Source Browser. The format of this report is determined by the Second Source file. This report: ! is sorted by ATM posting date, ATM number, and Transaction number ! contains sections for each unique ATM posting date, and subsections for each unique ATM number ATM Adjustments File Report This report is created by a Perl script which filters and reformats the Second Source Adjustment file. The Second Source Adjustment file is produced by an end-of-cycle utility, to be used by the Second Source Browser. Operators do not view this report. The format of this report is determined by the Second Source file. This report: ! is sorted by ATM number and Transaction number ! contains sections for each unique ATM number Audit Reports The following Audit Reports are available: ! ImageMark Audit report ! Audit Exceptions report ! Modified Entry report ! Deposit Review Audit report The ImageMark Audit report, Audit Exceptions report, and Deposit Review Audit report provide an audit trail for the items that pass through the system. The ImageMark Audit report generates by cycle on the DS, and the Audit Exception report generates by cycle on the DAP or DS. The Modified Entry report identifies all items that have moved to a different cycle. The Modified Entry report generates by cycle on the DAP or DS. ImageMark Transaction Manager 4.2 System Administration 185 Chapter 5: Reports End-of-Cycle Reports ImageMark Audit Report The ImageMark Audit report (also referred to as the full audit report) lists every item processed in the system and indicates all changes made to the items and which operator made the changes. The ImageMark Audit report must be run separately for each application instance. The item information (the first six report fields) displays on one line, and the change information related to the item (the remaining fields) displays beneath the item information. Note: Because this report takes a while to print, you may want to run it using Windows Task Scheduler. See Chapter 5 of ImageMark Transaction Manager 4.2 Parameter Generation: ASCII Files (B004-0000-0610). For each item, the report shows: ! DRN: the document reference number ! 186 Res. Susp. = resolved suspense item ! AMOUNT: the item final amount ! STAT: the way the final amount was entered in the system: ! M = read by the EPU MICR reader ! R = read by RSS recognition software ! C = keyed by Codeline Completion operator ! K = keyed by Amount Keying operator ! B = keyed by Balancing operator ! E = keyed by Expert Balancing operator ! F = resulted from a field manipulation directive ! S = assigned by SMM ! X = assigned or keyed at Reconciliation ! D = resulted from a Deposit Review ! I = EPA has imported an auto-select tracer from a 3890-captured entry ! OPER: the operator’s number, if the final amount was entered through keying ! 1234567890: the first source of each of the 10 item fields (for example, 1=AMOUNT, 2=TRANCODE, 3=ACCOUNT, 4=TRANSIT, 5=SERIAL, and so on): ! B = keyed by Balancing operator ! C = keyed by Codeline Completion operator ! D = resulted from a Deposit Review ! E = keyed by Expert Balancing operator ! F = resulted from a field manipulation directive ! K = keyed by Amount Keying operator ! M = read by the EPU MICR reader ! R = read by RSS recognition software ! S = assigned by SMM ! X = assigned or keyed at reconciliation ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports ! ! I = EPA has imported an auto-select tracer from a 3890-captured entry CODELINE: the item codeline read at the EPU ! ! = transport reject character Note: The codeline may wrap to the next line. For each item changed, beneath the item information, the report shows: ! CHG: the number of the field that was changed (1—10) or the reason for the change: ! 11 = free item resolved ! 12 = suspense item added ! 13 = suspense item removed ! 14 = item reclassified as an image reject ! 15 = field marked as non-encode ! 16 = item reclassified Note: The field reclassified is labelled with a corresponding reclassify code 41—50. ! 17 = adjustment created ! 18 = adjustment confirmed ! 19 = adjusment deleted ! 20 = physical adjustment created ! 21 = item has been reimaged ! 22 = front piggyback item has been reimaged ! 23 = rear piggyback item has been reimaged ! 24 = forced match item ! 25 = forced missing item ! 26 = transport image reject ! 27 = IDT operator reject ! 28 = deposit review required at DRA ! 29 = no deposit review required at host ! 30 = deposit review required at host ! 31 = reclassified to non-negotiable item ! 32 = audit change block split ! 33 = audit change batch split ! 34 = audit change batch moved ! 35 = audit change adjustment moved ! 36 = audit change keying error ! 37 = audit change misread ! 38 = audit change misencode ! 39 = audit change force adjustment deleted ImageMark Transaction Manager 4.2 System Administration 187 Chapter 5: Reports End-of-Cycle Reports ! 40 = codeline replaced ! 41—50 = field 1—10 reclassify ! 51 = IQA image suspect ! 52 = IQA image suspect confirm ! 53 = IQA image suspect cleared ! 54 = IQA image suspect reimaged ! 55 = OSD suspect cleared ! 56 = OSD suspect confirm ! 57 = OSD suspect reimaged ! 58 = OSD suspect ! 59 = physical item moved (this is the old and new logical pocket number) ! 60 = DDRI Unit of Work marked as damaged ! 61 = protected item prompt ignored by autorole ! 62 = amount field change not allowed (protected) ! 63 = field 2 to 10 change not allowed (protected) ! 64 = image change not allowed ! 65 = pocket change not allowed ! 66 = operator changed an item that had a “Protected” warning ! 67 = operator did not change an item that had a “Protected” warning ! 68 = physical item moved (this is the old and new tray number) ! 69 = physical item moved (this is the old tray sequence number) ! 70 = IDT operator reject ! 71—80 = auto-select field change 1—10 ! 81—90 = field 1—10 change not allowed ! 91 = supplemental amount changed ! 92 = hold removed ! 97 = block change ! 110 = suspect amount validated Note: If the initial value is not modified, there is no change code. ! ! 188 DATA BEFORE: the field value before the change: ! ? = system reject character ! If the change is an adjustment, this field displays the adjustment code. ! If the final amount was initially entered at an operator activity, this field is blank. DATA AFTER: the field value after the change: ! ? = system reject character ! If the change is an adjustment, this field displays the adjustment amount. ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports ! ! If the final amount was initially entered at an operator activity, this field is blank. OPER: one of the following codes. Note: If the code is not an autorole, it is followed by the number of the operator who made the change. ! B = keyed by Balancing operator ! C = keyed by Codeline Completion operator ! D = resulted from a Deposit Review ! E = keyed by Expert Balancing operator ! F = resulted from a field manipulation directive in CTA auto-activity ! K = keyed by Amount Keying operator ! R = read by RSS recognition software ! S = assigned by SMM ! X = assigned or keyed at reconciliation ! I = EPA has imported an auto-select tracer from a 3890-captured entry Audit Exceptions Report The Audit Exceptions report provides the same type of information as the ImageMark Audit report, but only for items that include a change made by an operator. For each item of this kind, the Audit Exception report provides the following information: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! DRN: the document reference number ! Oper. No.: the number of the operator who made the change ! Activity: the activity during which the operator made the change (Codeline Completion, Amount Keying, Balancing, Entry Processing Autorole, or Expert Balancing) ! Chg Code: the number of the field that was changed (1 to 10) or the reason for the change: ! 11 = free item resolved ! 12 = suspense item added ! 13 = suspense item removed ! 14 = IDT reject ! 15 = field marked as non-encode ! 16 = item reclassified Note: the field reclassified is labelled with a corresponding reclassify code between 41-50 ! 17 = adjustment created ! 18 = adjustment confirmed ! 19 = adjustment deleted ImageMark Transaction Manager 4.2 System Administration 189 Chapter 5: Reports End-of-Cycle Reports ! ! ! 20 = physical adjustment created ! 21 = item has been reimaged ! 22 = front piggyback item has been reimaged ! 23 = rear piggyback item has been reimaged ! 24 = forced match item ! 25 = forced missing item ! 26 = transport image reject ! 27 = IDT operator reject ! 28 = deposit review required at DRA ! 29 = no deposit review required at host ! 30 = deposit review required at host ! 31 = reclassified to non-negotiable item ! 41 to 50 = field 1 to 10 reclassify ! 71 to 80 = field 1 to 10 changed to valid on auto-select tracer ! 81 to 89 = reserved for customer use Before: the field value before the change ! ? = system reject character ! If the change is an adjustment, the field displays the adjustment code. ! If the final amount was initially entered at an operator activity, this field is blank. After: the field value after the change ! ? = system reject character ! If the change is an adjustment, this field displays the adjustment amount. ! If the final amount was initially entered at an operator activity, this field is blank. Example: The example on the next page shows a line for an EPA audit when an auto-select tracer was seen with an invalid account field. 190 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Modified Entry Report – SuperMICR The Modified Entry report identifies all entries that were moved to a cycle (posting date) different from the one selected when the images were captured. For a SuperMICR host, this report also identifies all entries whose Host Entry Number was changed after it was captured by the EPU or EPA. For each entry, the Modified Entry report – SuperMICR provides the following information: ! Entry No.: the original entry number for the unit of work ! Primary Job: the modified (if the entry was resent to the host) ! ORIGINAL Cycle No.: the original cycle number for the entry ! CYCLE Posting Date: the original posting date for the entry ! HOST Cycle No.: the modified cycle number for the entry ! CYCLE Posting Date: the modified posting date for the entry ! Primary Job Identifier: the BIE identifier for the entry Modified Entry Report – CPCS The Modified Entry report identifies all entries that were moved to a cycle (posting date) different from the one selected when the images were captured. For a CPCS host, this report also identifies all entries whose Host Entry Number was changed after it was captured by the EPU or EPA. For each entry, the Modified Entry report – CPCS provides the following information: ! Orig. Entry: the original entry number for the entry ! Host Entry: the modified entry number (if the entry was resent to the host). If blank, then the entry was not resent. ! ORIGINAL Cycle No.: the original cycle number for the entry ! CYCLE Posting Date: the original posting date for the entry ! HOST Cycle No.: the modified cycle number for the entry. If the entry was not moved, this column is blank. ! CYCLE Posting Date: the modified posting date for the entry. If the entry was not moved, this column is blank. ! Balanced I-String: the BIE identifier for the entry ImageMark Transaction Manager 4.2 System Administration 191 Chapter 5: Reports End-of-Cycle Reports Deposit Review Audit Report This report lists every item in every ATM deposit against which either a hold was applied or an item was identified as non-negotiable during a session. DRA starts a new page for each operator. If DRA applies a hold, the report identifies the operator as operator 0 to show that it was DRA and not a Deposit Review operator that applied the hold. The report has two sections: Deposit Review Hold Audit section: This three-part section provides information about each item against which a hold was applied. ! ! ! The Hold Information part includes: ! DRN: the document reference number for the item ! R/T: the trancode for the item ! Account: the account number ! Amount: the amount of each hold ! RefID: your bank may use this as the FIID (if your bank does not use an FIID, ignore this column) ! Reason Code: the reason code assigned by the operator ! OperID: identifies the operator who made the change ! Comments: information entered by operator when reviewing item The Deposit Information part includes: ! DRN: the document reference number for the deposit ! R/T: the trancode for the deposit ! Account: the account number of the deposit ! Amount: the amount of the deposit The Totals part includes: ! Total Hold Amount: the total amount of all holds listed in the report ! Total # Holds: the total number of holds listed in the report Deposit Review Non-Negotiable Items Audit section: This three-part section provides information about each non-negotiable item. ! 192 The Non-Negotiable Item part includes: ! DRN: document ref. no. for each non-negotiable item in deposit ! R/T: trancode for each non-negotiable deposit item ! Account: account number of the non-negotiable item ! RefID: your bank may use this as the FIID (if your bank does not use an FIID, ignore this column) ! Amount: amount of each non-negotiable deposit item ! Reason Code: identifies the reason that the item was non-negotiable ! OperID: identifies the operator who made the change ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports ! Comments: information entered by operator when reviewing item ! For the Deposit Information part, see description of headings above. ! The Totals part includes: ! Total Non-Negotiable Amount: total amount of all non-negotiable items listed in the report ! Total # Non-Negotiable Items: total number of non-negotiable items listed in the report Automatic Codeline Completion Statistics Report This report gives statistics for items that had fields automatically repaired. It includes the following information: 1This ! Bank Name: name of the bank at which ACC took place ! Cycle: host cycle number ! Date: date this report was generated ! Posting Date: date this report was uploaded to the server ! ACC Assigned (SWOCR F1 – F10): The number of fields that Automatic Codeline Completion (ACC) used Software Optical Character Recognition (SWOCR) to repair, by field ! Operator Modified ACC Field (SWOCR F1 – F10): Number of fields ACC repaired using SWOCR, since modified by an operator ! ACC Skipped (SWOCR F1 – F10): The number of fields that CLC Corrected that were not assigned by ACC or RSSR ! ACC Assigned (CAR/LAR F1): The number of fields that RSSR repaired using CAR/LAR. ! Operator Modified ACC Field (CAR/LAR F1): Number of fields RSSR repaired using CAR/LAR that have since been modified by an operator ! ACC Skipped (CAR/LAR F1): The number of fields CLC corrected that were not assigned by ACC or RSSR1 will allow for an understanding of the labour displacement that ACC provides. ImageMark Transaction Manager 4.2 System Administration 193 Chapter 5: Reports End-of-Cycle Reports BIE, EIE, and SIE Deadline Reports The BIE, EIE, and SIE Deadline reports provide data that will assist in identifying problems in float so they can be investigated within the system. BIE Deadline Report The BIE Deadline report shows the transit dollar amounts for captured items and the time that data was transmitted to the host by BIE and SIE. Notes: ! There is a line for each Sub-pass Item Export (SIE) entry even if the tray set was stacked after another entry’s tray set into a single SIE. ! For 3890 Capture, the report does not include SIE information, since no sub-pass item I-strings are transmitted by ImageMark. All rehandles are done on the 3890. Documents that go to the reject pocket are re-run on the ESU. For each data transmission, the reports list the following information: ! Cycle: the cycle number the data belongs in ! HOST ENTRY (CPCS) or JOB NUMBER (SuperMICR): the entry number for CPCS or the job number for SuperMICR ! EPU START TIME: the time that the EPU started processing the entry (CPCS) or job (SuperMICR) ! PIE, BIE, SIE TIME: the time that the string was transmitted to the host by PIE, BIE, or SIE Note: In the case of 3890 Capture, no sub-pass I-strings are transmitted to the host by SIE, so SIE TIME is left blank. ! EPU TO EXPORT DIFFERENCE: the elapsed time from when the EPU began processing the string until it was sent to the host ! TRANSIT AMOUNT: the dollar amount of transit items in the string (in thousands of dollars) ! TOTAL # ITEMS: the number of items in the string ! IDENTIFIER: the BIE data identifier. The first four digits are the entry number, and the next five groupings are the pocket pass history. The first pocket pass history is for the EPU. The remaining passes are for the ESU. Note: In the case of 3890 Capture, BIE is sending a 00-M string, which is reflected in the name of the string 194 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports EIE Deadline Report The EIE Deadline report shows the transit dollar amounts for captured items and the time that data was transmitted to the host by EIE. Note: There is a line for each Encoded Item Export (EIE) identifying the first item in the run. For each data transmission, the reports lists the following information: ! CYCLE: the cycle number the data belongs in ! HOST ENTRY (CPCS) or PRIMARY/SECONDARY JOB (SuperMICR): the entry number for CPCS or the job number for SuperMICR ! EIE TIME: the time that EIE completed transmission of the string to the host ! TRANSIT AMOUNT: the sum of the transit amount (in thousands of dollars) ! TOTAL # ITEMS: the sum of all stacked tray sets in a run ! IDENTIFIER: The EIE data identifier. The first four digits are the entry number followed by the pass number, which is 1. The four groupings that follow the pass number are for pocket history, but are not used for the EIE data identifier. Note: The EIE identifier references the first entry number in a run. SIE Deadline Report The SIE Deadline report shows the transit dollar amounts for captured items and the time that data was transmitted to the host by SIE. Notes: ! ! There is a line for each Sub-pass Item Export (SIE) identifying the first item in the run. No SIE Deadline Report is generated for 3890 Capture. For each data transmission, the reports list the following information: ! Cycle: the cycle number the data belongs in ! HOST ENTRY (CPCS) or JOB NUMBER (SuperMICR): the entry number for CPCS or the job number for SuperMICR ! SIE TIME: the time that the string was transmitted to the host by the SIE ! TRANSIT AMOUNT: the sum of the transit amount (in thousands of dollars) ! TOTAL # ITEMS: the sum of all stacked tray sets in a run ! IDENTIFIER: the SIE data identifier The first four digits are the entry number, and the next five groupings are the pocket pass history. The first pocket pass history is for the EPU. The remaining passes are for the ESU (currently only one pass at the ESU is supported) Note: The SIE identifier references the first entry number in a run. ImageMark Transaction Manager 4.2 System Administration 195 Chapter 5: Reports End-of-Cycle Reports BTM Reports ImageMark Transaction Manager provides reports that support BTM processing. Note: BTM reports are generated at the end of the cycle using a metascript command (not the Report utility). For instructions on running this command, contact NCR Professional Services. There are several BTM end-of-cycle reports: ! BTM Batches Not Received report ! Next Day BTM Batches Received report ! Items Missing from BTM Batches Received Today report ! Items Received without BTM Batches Today report ! BTM Batches Aged Out report ! BTM Branch Rankings report ! BTM Teller Rankings report ! Incorrectly Matched Items report ! Teller Keying Errors Detail report BTM Batches Not Received Report This report lists batches of BTM work that were processed at the branch, for which there is a second source record, but the credit (BTM batch ticket) has not been matched. The following information for each BTM batch is shown in this report: ! Teller: the ID number for the teller who processed the BTM batch ! Branch: the number of the branch where the BTM batch originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the BTM batch was processed at the branch ! BTM Amount: the value of the amount field ! No. of Debits: the number of debits in the BTM batch represented by the credit ! No. of Debits Unmatched: the number of unmatched debits in the BTM batch represented by the credit Next Day BTM Batches Received Report This report lists batches of BTM work for which the credit (BTM batch ticket) has been matched to the second source record. Only the current day’s work is included in this report. The following information for each BTM batch is shown in this report: 196 ! Teller: the ID number for the teller who processed the BTM batch ! Branch: the number of the branch where the BTM batch originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the BTM batch was processed at the branch ! CPCS Posting Date: the date the cycle was created that contains the BTM batch ! BTM Amount: the value of the amount field ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Items Missing from BTM Batches Received Today Report This report lists debit items that are missing from batches of BTM work for which the credit (BTM batch ticket) has been matched. This list may include items that were matched on previous days and purged by the delete cycle process. The following information for each missing debit item is shown in this report: ! Teller: the ID number for the teller who processed the BTM batch ! Branch: the number of the branch where the BTM batch originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the BTM batch was processed at the branch ! BTM Amount: the value of the amount field ! BTM Item Number: the number assigned to the missing item during BTM processing ! Customer ID Number: the customer account number into which the missing item was deposited Items Received without BTM Batches Today report This report provides information on BTM batches for which there is an unmatched credit and one or more matched debits. For each debit item only, this report shows the following information: ! Teller: the ID number for the teller who processed the BTM batch ! Branch: the number of the branch where the BTM batch originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the BTM batch was processed at the branch ! CPCS Posting Date: the date the cycle was created that contains the BTM batch ! BTM Amount: the value of the amount field ! BTM Item Number: the number assigned to the aged out item during BTM processing ! Customer ID Number: the customer account number into which the aged out item was deposited BTM Batches Aged Out Report This report provides information on BTM batches for which unmatched second source records have been aged out. For each aged out item, this report shows the following information: ! Teller: the ID number for the teller who processed the BTM batch ! Branch: the number of the branch where the BTM batch originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the BTM batch was processed at the branch ! BTM Amount: the value of the amount field ! BTM Item Number: the number assigned to the aged out item during BTM processing ! Customer ID Number: the customer account number into which the aged out item was deposited ImageMark Transaction Manager 4.2 System Administration 197 Chapter 5: Reports End-of-Cycle Reports BTM Branch Rankings Report This report ranks the bank branches according to exceptions found in their work (teller errors and unmatched items). For each branch, this report shows the following information: ! Final Ranking: the branch’s position relative to all other branches in terms of total errors produced (an averaging formula is used) ! Branch Number: the number of the branch where the BTM batch originated ! Number of Items Not Received: the number of unmatched debit items ! Number of Batches Not Received: the number of unmatched BTM batch tickets ! Number of Teller Keying Errors: the number of adjustments that were made to the BTM amount for matched items This is how the totals are calculated: For example, if branch XYZ is rank 10 of 100 for batches not received, rank 50 of 100 for items not received, and rank 80 of 100 for teller keying errors, then the ranking sum is 10 + 50 + 80 = 140. This value is only used for later sorting. The final ranking is generated as the report is generated, starting at 1. Note that if more than one branch has the same summed ranking, then they will have the same value of final ranking. For example, if there are three branches with summed ranks of 4, 7, and 9, they will be ranked 1, 2, 3 in the report. Teller Ranking Report This report ranks the tellers at each bank branch according to problems found in their work (teller errors and unmatched items). For each branch (printed on a separate page), this report shows the following information: 198 ! Teller Number: the ID number for the teller who processed the BTM batch ! Final Ranking Within Branch: the teller’s position relative to all other tellers in the branch in terms of total errors produced (an averaging formula is used) ! Final Ranking Across All Branches: the teller’s position relative to all other tellers in all branches in terms of total errors produced (an averaging formula is used) ! Number of Items Not Received: the number of unmatched debit items in today’s work for this teller ! Number of Batches Not Received: the number of BTM batch tickets not matched in today’s work for this teller ! Number of Teller Keying Errors: the number of adjustments that were made to the BTM amount for matched items in today’s work for this teller ! Number of Force Matched Items per Thousand Items: the number of items per thousand in today’s work for this teller that were force matched ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Incorrectly Matched Items Report This report provides information on BTM batches containing incorrectly matched items. Balancers can flag incorrectly matched items, and the system can automatically unmatch them, as long as the match was made within the same entry. For items incorrectly matched to second source records in a different entry, reconcilers must use this report to identify them. For each branch, this report shows the following information: ! Teller: the ID number for the teller who processed the BTM batch ! Branch: the number of the branch where the BTM batch originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the BTM batch was processed at the branch ! CPCS Posting Date: the date the cycle was created that contains the BTM batch ! BTM Amount: the value of the amount field for the item ! DRN: the Document Reference Number of the incorrectly match item ! Mismatch Type: tells if the mismatch was automatic or manual. ! Operator ID: if the mismatch was manual, the operator ID number is listed. ! BTM Item Number: the number assigned to the item during BTM processing ! Customer ID Number: the customer account number into which the item was deposited Teller Keying Errors Detail Report This report provides information on teller keying errors in today’s work. For each item, this report shows the following information: ! Teller: the ID number for the teller who processed the item ! Branch: the number of the branch where the item originated ! BTM Batch: the BTM batch that the item belongs to ! BTM Posting Date: the date the item was processed at the branch ! CPCS Posting Date: the date the cycle was created that contains the item ! BTM Amount: the value of the amount field, from the second source data file ! Posted Amount: the amount that was entered by the teller ! BTM Item Number: the number assigned to the item during BTM processing ! Customer ID Number: the customer account number into which the item was deposited Note: Items with a very small difference between the BTM amount and the posted amount may be left out of this report (determined by parameters). ImageMark Transaction Manager 4.2 System Administration 199 Chapter 5: Reports End-of-Cycle Reports Bundle List Report You can use the Bundle List report as an alternative to the Pocket Listing report. The Bundle List report lists items that were originally processed on a 3890 reader/sorter, then balanced and physically repaired on ImageMark Transaction Manager. These items must be reprimed on the 3890. This report is generated for each ESU output-processed tray set containing repaired reject items. You can use this report to prepare items for re-priming at the 3890, based on the position of Cutslips (Universal Batch Headers) in the ESU output pocket. Create a General Ledger ticket from the totals in the report and re-block the work into new entries for re-priming on the 3890. This report also helps to identify if any items have gone missing between the ESU and the 3890. To save space, this report is formatted with three groups of three columns of item data (DRN, BSB, AMOUNT) spread horizontally across the page. The system fills the first group of three columns to the bottom of the page before starting to fill the second group of columns. The report lists the following information: 200 ! Cycle Date: cycle process date ! Pocket: destination pocket of the item on the 3890 ! Station ID: identification number for the 3890 that processed the item ! Run: date and time when the 3890 run ended ! Receiving Bank: Bank that the item was received from ! DRN: the Document Reference Number of the item ! R/T: the Routing/Transit number of the item ! AMOUNT: the amount of the item ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Daily Corrections Export Reports The Daily Corrections Export reports include the following reports: ! End of Day Daily Corrections Export report ! Entry Level Daily Corrections report End of Day Daily Corrections Export Report This is a new End of Cycle report that combines the files generated by the EIR daily corrections report into one file, sorted by the advice reference number. Output from this report is sent to this file: dailyex.cycle_key.cycle_process_date (where cycle_process_date is in YYYYMMDD format) in this location: /opt/siips/archive/bac (%SIIPS_BASE%/archive/bac in ImageMark 4.x) The first line in the combined file is a header record consisting of the following information: Column Name Description Justification/Fill Length (total chars) Position From: To: Header Indicates that this record is the header. Fixed value of HDR. Left = 'HDR' 3 1 3 Site Identifier ImageMark Site where the file originated. This will likely be a parameter either in BANKSITE or APP_TYPE_PSETS. Left = 'LA00004580' 10 4 13 Date (DB) CYCLE:process_date in format MMDDYYYY Left = '07252005' 8 14 21 The last line in the combined file is a trailer record consisting of the following information: Column Name Description Justification/Fill Length (total chars) Position From: To: Trailer Fixed value of 'TRL' Left = 'TRL' 3 1 3 Record Count Count of the number of data records in the file. Does not include the header or trailer records. Right = '00014' 5 4 13 ImageMark Transaction Manager 4.2 System Administration 201 Chapter 5: Reports End-of-Cycle Reports Entry Level Daily Corrections Report This is a new End of Cycle report that lets you create a master report of all information in all the Entry Level reports, to use for back-end processing. Output from this report is sent to this file: dailyexeir.cycle_key.entry_key in this location: %SIIPS_BASE%/archive/bac Note: Refer to the PCS extension package release bulletin for instructions on configuring and activating this report. The output file lists the following information as a record for each adjustment. There is one record per line, each of which contains all of the following information: 202 Column Name Source (DB) = Database (PA) = Parameter Length (total chars) Position From: To: Bank ID (DB) ADVICE:bank_id Left, space filled i.e. '8888 ' 10 1 10 Transaction Office (DB) ADVICE:branch_num Left, space filled i.e. '1 ' 10 11 20 Account Number (DB) ADVICE:dep_acct_no Left, space filled i.e. '2222 30 21 50 Justification/Fill ' Sub-Account Number (DB) ADVICE:sub_acct_no Left, space filled i.e. ' ' 10 51 60 Correction ID (DB) ADVICE:adj_reason_code Right, zero filled i.e. '001' 3 61 63 Entry Amount 1 (DB) ADVICE:dep_slip_amt Right, zero filled i.e. '000000000654' 12 64 75 Entry Amount 2 (DB) ADVICE:dep_slip_amt Right, zero filled i.e. '000000000654' 12 76 87 Entry Amount 3 (DB) ADVICE:dep_slip_amt Right, zero filled i.e. '000000000654' 12 88 99 Adjustment Amount (DB) ADVICE:corr_amt Right, zero filled i.e. '000000000044' 12 100 111 Credit OR Debit 'C' or 'D' using (DB) ADVICE:corr_class Full. i.e. 'C' 1 112 112 Direct Fees Not used - zero fill Full = '000000000000' 12 113 124 Analysis Fees Not used - zero fill Full = '000000000000' 12 125 136 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Column Name Source (DB) = Database (PA) = Parameter Length (total chars) Position From: To: Wave Fees Not used - zero fill Full = '000000000000' 12 137 148 In or Out Not used - zero fil Full = ' ' 1 149 149 Application Code (DB) ADVICE:application_code Left, space filled. i.e. 'DDA' 3 150 152 Teller ID (DB) ADVICE:teller_num. Left, space filled i.e. '1 ' 10 153 162 Adjustment String (DB) PRINCIPAL:login (obtained using ADVICE:oper_number)(DB) ADVICE:advice_ref Left, space filled i.e. '123-900001 ' 55 163 217 Adjustment Number (DB) ADVICE:advice_ref Full = '900001' 16 218 233 Proof Operator ID (DB) PRINCIPAL:login (obtained using ADVICE:oper_number) Left, space filled i.e. '1 ' 10 234 243 Transaction Number (DB) ADVICE:transaction_num Left, space filled i.e. '1 ' 16 244 259 Maker Payor name of the check in error. Not used - blank fill Full = ' ' 40 260 299 Bank R/T from check in error Not used - blank fill Full = ' ' 40 300 339 MICR Code Not used - blank fill Left = '1 ' 3 340 342 Comments (DB) ADVICE:advice_comment Left, space filled 255 343 597 Account Name Not used - blank fill Left = ' ' 40 598 637 Address Line 1 Not used - blank fill Left = ' ' 40 638 677 Address Line 2 Not used - blank fill Left = ' ' 40 678 717 Address Line 3 Not used - blank fill Left = ' ' 40 718 757 Address Line 4 Not used - blank fill Left = ' ' 40 758 797 Address Line 5 Not used - blank fill Left = ' ' 40 798 837 Office ID (DB) ADVICE:proc_date Left = ' 10 838 847 Created Date Amount from item before the item in error. Full = '12/22/1998' 10 848 857 ImageMark Transaction Manager 4.2 System Administration Justification/Fill ' 203 Chapter 5: Reports End-of-Cycle Reports 204 Column Name Source (DB) = Database (PA) = Parameter Length (total chars) Position From: To: Listed Between B Not used - zero fill Full = '000000000000' 12 858 869 Listed Between A Not used - zero fill Full = '000000000000' 12 870 881 Alternate Name Not used - blank fill Left = ' ' 40 882 921 Alternate Address Line 1 Not used - blank fill Left = ' ' 40 922 961 Alternate Address Line 2 Not used - blank fill Left = ' ' 40 962 1001 Alternate Address Line 3 Not used - blank fill Left = ' ' 40 1002 1041 Alternate Address Line 4 Not used - blank fill Left = ' ' 40 1042 1081 Alternate Address Line 5 Not used - blank fill Left = ' ' 40 1082 1121 Reason Description (PA) IDT_ADJUSTMENT_ CODES:AdjustmentText look up using (DB) ADVICE :adj_reason_code Left, space filled i.e. 'Check was Listed for Wrong Amount ' 40 1122 1161 Reason Text Format Not used - blank fill Left = ' 255 1162 1416 Charge to Account Number (DB) AP_DDR:field3 Left, space filled i.e. '123456 ' 30 1417 1446 Serial Number (DB) AP_DDR:field5 Left, space filled i.e. '00118 ' 10 1447 1456 Breakdown Not used - blank fill Left = ' 30 1457 1486 Hundreds Not used - zero fill Left = '000000000000000 0000' 25 1487 1511 Fifties " Left = '0000000' 25 1512 1536 Twenties " Left = '00000000' 25 1537 1561 Tens " Left = '00000000' 25 1562 1586 Fives " Left = '00000000' 25 1587 1611 Twos " Left = '00000000' 25 1612 1636 Ones " Left = '000000000' 25 1637 1661 Justification/Fill ' ' ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Column Name Source (DB) = Database (PA) = Parameter Justification/Fill Length (total chars) Position From: To: Coins " Left = '000000000' 25 1662 1681 Total Breakdown " Left = '000000000' 25 1687 1711 TOTALS: ImageMark Transaction Manager 4.2 System Administration 205 Chapter 5: Reports End-of-Cycle Reports EPU Exception Item Reports The EPU Exception Item reports include the following reports: ! Unresolved Suspense Items report ! Merchant Summary report ! Research Items – Exception Items in Kill Pocket report These reports generate by cycle on the DAP database. Unresolved Suspense Items Report The Unresolved Suspense Items report shows all items that were left in the Suspense Pool after Balancing. For each item, this report shows: ! Cycle: the number of the cycle the work belongs to ! DRN: the document reference number ! AMOUNT: the item amount ! CR/DB/NP: a code indicating whether the item was a credit (CR), a debit (DB), or a non-proof (NP) item ! ENTRY: the number of the entry to which this item belongs ! POCKET: the number of the kill pocket in which the item was placed at the EPU ! 3890 PKT: the 3890 equivalent of the of the ImageMark EPU pocket ! the item’s codeline: a dot-separated pseudo codeline, generated by EPA (! = transport reject character) The TOTALS line of this report shows the total number of credit, debit and non-proof items that were processed, and the sum of these three numbers. Note: Any suspense items that you export to ETF will appear in the Unresolved Suspense Items report. 206 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Merchant Summary Report This report shows item information for each item that has had at least one side re-imaged or marked as an IQ Reject. The report lists the following information for each item: ! Bank Name: name of the bank that will be debited for this item ! Date: date this report was generated (dd/mm/yyyy) ! Distribution Name: the type of item, as defined by the DOCUMENT_DISTS parameters ! DRN: Document Reference Number of the item ! Merchant: name of the merchant who deposited the item ! Amount: the amount of this deposited item, as defined by the RPT_FIELD_DEFNS parameters ! Collecting Bank: name of the bank of first deposit ! Total Fee: The total of the per-item fees that the bank will receive from the merchant for handling these items (defined by the MERCHSUM_RPT_PARMS parameters) Note: Only items with a defined distribution are shown on the report (controlled by the MERCHSUM_RPT_PARMS parameters). Research Items – Exception Items in Kill Pocket Report The Research Items – Exception Items in Kill Pocket report shows all items that were flagged as research items at Balancing and that are physically located in EPU kill pocket trays. For each item, this report shows: ! Cycle: the number of the cycle the work belongs to ! DRN: the document reference number ! AMOUNT: the item amount ! CR/DB/NP: a code indicating whether the item was a credit (CR), a debit (DB), or a non-proof (NP) item ! ENTRY: the number of the entry to which this item belongs ! POCKET: the number of the pocket in which the kill document was placed ! the item’s codeline (! = transport reject character) The TOTALS line of this report shows the total number of credit, debit and non-proof items that were processed, and the sum of these three numbers. ImageMark Transaction Manager 4.2 System Administration 207 Chapter 5: Reports End-of-Cycle Reports Forced Adjustment Report This report is used by the research department to help make day 2 corrections. For each entry, it lists all units of work that were forced into balance, and shows what information was changed to make the work balance. This is a two-part report. The first part shows Online Block Balancing activity, and the second part shows Offline Block Balancing activity. These columns appear in both parts of the report and list the auto adjustments made to meet deadlines: ! DRN: document reference number of the force-balanced item ! Block: block number of the force-balanced item ! Batch: batch number of the force-balanced item ! SERIAL: the force-balanced item’s serial number ! BANK: the force-balanced item’s transit number ! ACCOUNT: the force-balanced item’s account number ! TRNCOD: the force-balanced item’s transaction code ! AMOUNT: the force-balanced item’s amount These columns appear in the second part of the report only and list the changes made in Offline Block Balancing to reflect the real problem: ! 208 CHG: change code representing the modification made to the batch, block, or item: ! 32 = block split ! 33 = batch split ! 34 = batch moved ! Data Before: codeline of the item as read by the system, before it was modified ! Data After: the portion of the codeline that was modified by the operator ! Oper: operator number for the operator who made the change ! Field1 to Field5: specific fields from the codeline (defined by the RPT_FIELD_DEFNS keyword) ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Image Quality Reports The Image Quality End-of-Cycle reports include the following reports: ! Image Quality Failure Detail report ! Image Quality Test Performance Summary report ! Image Quality Transport Performance Summary report Image Quality Failure Detail Report This report shows item information for each item that has had at least one side reimaged or marked as an IQ Reject. The report lists the following information for each item: ! Bank Name: name of the bank at which the testing took place ! Cycle: host cycle number ! Date: date this report was generated ! Posting Date: date this report was uploaded to the server ! DRN: Document Reference Number of the reimaged or rejected item ! Image Face: side of the image that failed (front or rear) ! PSet: parameter set the item was run against ! Transport Number: ID number of the capture transport ! R/T: routing/transit number of the item ! Account: account number of the item ! Codeline: codeline of the reimaged or rejected item ! Vendor: test vendor ! Type: test type ! Test Num: test number ! Face: front or back of item ! Binary/Gray: image type ! Test ID: ID number of the IQ test that failed ! Score: the score the test received. when the test type is HUMAN, this column also lists the message associated with the measurement. for a human test, the measurement is the IQ reason code (explaining why the item was reimaged or marked as a reject) ! Threshold 1: lower limit for the test (e.g. minimum, left) ! Threshold 2: upper limit for the test (e.g. maximum, right) ! Result: Image Quality Test results (pass or fail) for the original scanned image (not the good image obtained at Reimage) Note: Not all fields may be displayed at your site (this is controlled by parameters). ImageMark Transaction Manager 4.2 System Administration 209 Chapter 5: Reports End-of-Cycle Reports Image Quality Test Performance Summary Report The Image Quality Test Performance Summary report details the results of the tests performed on the images. The report is grouped by Block Type within the Pset. Each new Pset is started on a new page. All fields have grand totals given for the cycle. This report lists the following information for each IQ Test that was executed (either by the capture transport (EPU, Passport or 3rd party) or by IQA): ! Bank Name: name of the bank at which the testing took place ! Cycle: host cycle number ! Date: date this report was generated ! Posting Date: date this report was uploaded to the server ! Vendor: test vendor ! Type: test type ! Test Num: test number ! Test Description: description of the test performed ! Face: front or back of item ! Binary/Gray: image type ! #Passed Images: number of images with a true test result ! #Passed Images Rejected/Reimaged: number of images with a true test result that ended up being reimaged or marked as IQ Rejects ! #Failed Images: number of images with a false test result ! #Failed Images Rejected/Reimaged: number of images with a false test result that ended up being reimaged or marked as IQ Rejects Image Quality Transport Performance Summary Report This report shows, for every transport which captured items in that cycle, how many items were captured and, of those, how many items were reviewed as IQ Suspects, reimaged, or marked as IQ Rejects. The data is grouped by block type within the pset. Each new Pset is started on a new page. All fields have grand totals given for the cycle. Note: Printing this report is not recommended due to the high number of devices included (too many pages). The report lists the following information: 210 ! Bank Name: name of the bank at which the testing took place ! Cycle: host cycle number ! Date: date this report was generated ! Posting Date: date this report was uploaded to the server ! Station Number: ID number of the transport that processed these items ! # Captured Items: total number of items captured ! # Reviewed: total number of items reviewed ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports ! # Reimaged/Rejected: total number of items that were reimaged or marked as IQ Rejects ! % Reviewed: percentage of total number of items captured that were reviewed ! % Reimaged/Rejected: percentage of total number of items captured that were reimaged or marked as IQ Rejects Items Aged Out Report The Items Aged Out report provides information on which unmatched second source records have been aged out. For each second source file, this report shows the following information: ! Source: source bank or batch of the second source file ! Posting Date: the item’s posting date ! Host Sequence: the item’s sequence number ! Type: the type of work (2 for Repass Capture second source files) ! EX: not used ! SERIAL: the item’s serial number ! TRANSIT: the item’s transit number ! ACCOUNT: the item’s account number ! AMOUNT: the item’s amount ! GROUP: the ATM number for each second source file listed in the report Items Not Received Report The Items Not Received report provides information on which second source records have not been matched to physical items. The date on this report reflects the current system date when the report is printed. The Items Not Received report shows the following information: ! Source: source bank or batch of the second source file ! Posting Date: the item’s posting date ! Host Sequence: the item’s sequence number ! Type: the type of work (2 for Repass Capture second source files) ! EX: information from Second Source files or teller files (field 6 of SS_DRR table) ! SERIAL: the item’s serial number ! BANK: the item’s bank number ! ACCOUNT: the item’s account number ! TRNCODE: the item’s trancode ! AMOUNT: the item’s amount ! GROUP: the ATM number for each second source file listed in the report ImageMark Transaction Manager 4.2 System Administration 211 Chapter 5: Reports End-of-Cycle Reports Items Pull Reports These reports get printed at the end of the day, either by the supervisor as part of the Report utility or using Windows Task Scheduler. Items Pull Report The codeline fields displayed in this report are determined by the parameter keyword RPT_FIELD_DEFNS. Other information included in this report (such as title and which distributions are included) also depends on parameters. For more information, see “Customizing Items Pull Reports” in ImageMark Transaction Manager Parameter Generation: Appliction Generator. The following information is included in this report by default: ! DRN: the document reference number ! EX: information from Second Source files or teller files (field 6 of SS_DRR table) ! Codeline fields 1 to 5 (SERIAL, TRANSIT, ACCOUNT, TRNCOD, AMOUNT) ! Tray Number: the number of the tray the item belongs to ! Tray Sequence: the location of the item in the tray (e.g., 4.00 means the item is the fourth item in the tray) The last page of the report includes subtotals (by usercode) and a Grand Total line at the bottom. The totals given are: ! Total Name: lists all the banks in the report ! Total Items: total number of checks ! Total Amount: total amount for all checks ! Total DRCnt: total number of proof debits ! Total Debits: totals for proof debits ! Total CRCnt: total number of proof credits ! Total Credits: totals for proof credits ! Total NP Debits: totals for non-proof debits ! Total NP Credits: totals for non-proof credits A sample report follows, but the content of the report is determined by parameters. 212 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Non-Negotiable Items Report Use this report to match each non-negotiable item with its corresponding advice notice. There are three parts: ! ! ! ! ! Advice Notice that includes: ! Branch #: the number that identifies the bank branch where the customer making the deposit has their account ! Advice Reference #: the reference number that appears on the advice notice sent to the customer Non-Negotiable Item that includes: ! DRN: the document reference number for each item in a deposit that is identified as nonnegotiable ! Amount: the amount of each item that is non-negotiable ! Reason Code: the reason code that identifies the reason that the item was identified as nonnegotiable ! Reason: the description of the reason for making the item non-negotiable Deposit Information that includes: ! DRN: the document reference number of the deposit ! R/T: the trancode ! Account: the account number of the deposit Location Information that includes: ! Tray #: the number of the final tray that the non-negotiable item was in ! Entry #: the number of the entry that the work belongs to ! Host Entry: the number of the host entry (CPCS) that the work belongs to ! EPU Kill: ! Yes indicates the item was identified as non-negotiable and sorted to a kill pocket at EPU ! No indicates the item was not identified as non-negotiable at EPU. Instead the item was identified later as non-negotiable and sorted to a kill pocket at ESU. Totals that include: ! Total Amount: total amount of all non-negotiable items listed in the report ! Total # Items: total number of non-negotiable items listed in the report Pocket Listing Report The Pocket Listing report lists items that were originally processed on a 3890 reader/sorter, then balanced and physically repaired on ImageMark Transaction Manager. These items must be reprimed on the 3890. This report is generated for each ESU output-processed tray set containing repaired reject items. The report identifies all entries stacked as part of the output tray set. You can use the page totals to prepare balancing General Ledger credits and/or batch headers for the ESU’s transit kill pocket, and for the ESU’s on-us pockets if necessary. You can then re-block work into new entries for re-priming on the 3890. ImageMark Transaction Manager 4.2 System Administration 213 Chapter 5: Reports End-of-Cycle Reports This report also helps to identify if any items have gone missing between the ESU and the 3890. Notes: ! For the transit pocket, the pocket includes only transit items, so the on-us DB and onus CR totals will be zero. ! For on-us pockets, the pockets include only on-us items, so the transit total will be zero. ! To save space, this report is formatted with three groups of three columns of item data (DRN, R/T, AMOUNT) spread horizontally across the page. The system fills the first group of three columns to the bottom of the page before starting to fill the second group of columns. ! Tracer group and cutslip records are not included in the report. ! The item type is identified as on-us or transit by the following fields: ESU Pocket, Endpoint ID, and the type code following the Amount columns. The report lists the following information: ! MultiBankName: the bank name ! Cycle: the cycle number the data belongs in ! Cycle Date: cycle process date ! ESU Pocket: destination pocket of the item on the ESU ! Endpoint ID: identification number for the ESU pocket that the item was intended for ! ESU Station ID: identification number for the ESU that processed the item ! ESU Run: date and time when the ESU run ended ! Routing Information: can be used to provide routing instructions to the supervisor or operator who has finished processing the 3890 Reject tray through the ESU. Controlled by the POCKET_RPT_PARMS parameters. For example, the parameters can be set as follows: ! RoutingInfo1 = “3890 Transit Rejects” ! RoutingInfo2 = “3890 Re-Prime Required” ! RoutingInfo3 = “Prepare G/L Credits from Subtotals” ! RoutingInfo4 = “Prepare Batch Header from Grand Total” ! From Entry(s): list of entry numbers for trays stacked into this run on the ESU ! DRN: the Document Reference Number of the item ! R/T: the Routing/Transit number of the item (this is an example column heading; column heading can be changed using FieldName parameter (RPT_FIELD_DEFNS keyword)) ! AMOUNT: the amount of the item (this is an example; column name can be changed using FieldName parameter (RPT_FIELD_DEFNS keyword)) ! %T (type of item, follows amount): CR (credit), DR (debit), or NP (non-proof) At the end of each page, a Subtotal line gives the count and sum of amounts from transit, on-us debit, and on-us credit items printed on that page. At the end of the report, a Grand Total line gives the count and grand total sum of amounts from transit, on-us debit, and on-us credit items for the entire report. 214 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Recognition Performance Statistics The Recognition Performance Statistics reports provide detailed information about the performance of each Recognition Subsystem at your site. For each RSS, you can generate the following reports: ! RSS Performance Summary report ! CAR Performance Summary report ! CAV Performance Summary report ! RSS Reclassification report These reports can be very useful for tuning recognition performance. You can select to generate these reports for a specific workgroup, for a specific cycle, or on a specific database; however, for the best results, generate these reports by workgroup. RSS Performance Summary Report The RSS Performance Summary report summarizes how well each RSS performed with each type of item that it handled. For each DS (or each Recognition Unit, if there is more than one on a DS), this report provides the following information: ! Recognition Station: the Recognition Station to which the statistics apply ! Total Proof Items: the total number of proof items in all units of work processed by this workgroup ! Items Shuffled: the percentage of proof items that were supposed to be processed by the RSS but were made to bypass it ! Items Reco Processed: the percentage of proof items that were sent to the RSS for processing. A value greater than 90% indicates optimal recognition performance. ! AMOUNT RSS Assigned: the percentage of proof items whose amounts were assigned by the RSS (that is, not rejects). A low number may indicate a problem with Recognition parameter tuning, document preparation, or the EPU image lift camera. ! AMOUNT Force Keyed: the percentage of proof items whose amounts were forced to be manually keyed because of RSS parameter settings ! AMOUNT RSS Only: the percentage of proof items whose amounts were determined solely by the Recognition software and were not keyed by Amount Keying, Codeline Completion, or Balancing. This is the most stringent measure of Recognition software performance. ! AMOUNT EPU Only: the percentage of proof items whose amounts were determined solely by the EPU (for example, pre-encoded amounts) ! AMOUNT KLD: the percentage of proof items whose amounts were not manually keyed at Codeline Completion or Amount Keying. Does not include RSSV statistics. ImageMark Transaction Manager 4.2 System Administration 215 Chapter 5: Reports End-of-Cycle Reports CAR Performance Summary Report The CAR Performance Summary report summarizes how each recognition distribution performed on each Recognition Unit. If more than one field is read for a particular distribution, separate statistics are provided for each field. For each distribution, this report provides the following information: ! RSS Dist: the recognition distribution ! Field Number: the item field number: ! 1 = amount ! 2 = transaction code ! 3 = account ! 4 = transit ! 5 = serial ! Number of Items: the total number of items processed ! Number of Fields Read: the total number of item fields read correctly (the amount supplied by the Recognition software matched the final balanced amount) ! Number of Fields Misread: the total number of item fields misread ! Number of Fields Rejected: the total number of fields rejected by CAR ! Number of Items Failed Rec: the total number of items that the RSS failed to process because of a bad image ! Number of Items with Prior Data: the number of items with valid (pre-encoded) data in the field, read by the EPU prior to recognition At the end of this report, a CAR Performance Grand Totals Summary report shows the cumulative totals of the above information for all RSSs in the system. CAV Performance Summary Report The CAV Performance Summary report summarizes how well each RSS performed with each type of item field when it had second sources (images of adding machine tapes and deposit slips) to work with. This report shows: 216 ! Field Number: recognition field which is offset to DDR ! Recognition Station: the Recognition Station to which the statistics apply ! No. of Items Procs’d: the total number of items processed by the Recognition software on this DS ! No. of Items Comb’d with Add Tape: the number of items for which the recognized amount was combined with an adding machine tape image ! No. of Items Comb’d to Deposit Slip: the number of items for which the recognized amount was combined with a deposit slip image ! No. of Items accp’d with Second Source: the total number of fields that were matched to a second source value (for example, adding machine tapes + deposit slips) ! No. of Items Accp’d without Second Source: the number of fields for which there was no second source value, so the ‘raw’ Recognition Unit result was used ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports ! No. of Items Accp’d by CAV: the number of fields for which the post-CAV result was correct (the same as the final proof amount) ! No. of Items Misread: the number of fields for which the post-CAV result was incorrect (different than the final proof amount) ! No. of Field Rejects: the number of fields that were rejected because the confidence value for the post-CAV result was less than the confidence threshold ! No. of Items Force Key Rej’d: the number of fields rejected because of the forced keying parameters (singles and high-dollar values) ! No. of Items with Prior Data in Field: the number of items where prior data were captured in the target field At the end of this report, a CAV Performance Grand Totals Summary shows the cumulative totals of the above information for all RSSs in the system. RSS Reclassification Report The RSS Reclassification report summarizes the results for each recognition distribution that has enabled the reclassification feature. For each DS (or each Recognition Unit, if there is more than one on a DS), this report provides the following information: ! RSS Station: the name of DS system for retrieving data and the display name of the data server ! RSS Dist.: the recognition distribution ! Total Credits: total number of items of this distribution that end up as credits ! Total Debits: total number of items of this distribution that end up as debits ! Number of Credits Reclassified: number of items that end up as credits and have been reclassified by RSS ! Number of Debits Reclassified: number of items that end up as debits and have been reclassified by RSS ! Credit Accuracy: RSS credit reclassification accuracy on credits ! Debit Accuracy: RSS credit reclassification accuracy on debits At the end of each DS, a subtotal table shows the totals across the data server. At the end of this report, a RSS Reclassification Summary report shows the cumulative totals on a separate page for all groups across all PSet numbers and DS servers. Note: If the DS server is in an invalid state or unable to establish a connection to this server, this fact should be put into the report. ImageMark Transaction Manager 4.2 System Administration 217 Chapter 5: Reports End-of-Cycle Reports RIR Document Distribution Report The RIR Document Distribution report lists items that have been reimaged for the current batch, by the current operator. The report lists the items in the order that they were reimaged. Expert Balancers use this report to place the physical documents after reimaging. The report lists the following information: ! Date: date and time the report was generated and printed ! Cycle: cycle number the reimaged items belong in ! Entry: entry number the reimaged items belong in ! Batch: batch number the reimaged items belong in ! PSET: Pset number associated with these items ! far left column: indicates the source of the item ! ri = regular reimaged item or regular front piggyback item ! ins = reimaged adjustment, insert associated with the reimaged adjustment, real piggyback associated with the front piggyback ! 3 = account ! 4 = transit ! 5 = serial ! DRN: Document Reference Number of the reimaged item ! Codeline: codeline of the reimaged item ! Pocket Number: number of the transport pocket that this item belongs in ! Tray Number: number of the tray that this item belongs in ! Tray Sequence: tells the EBAL operator where to put the reimaged item within its tray as follows: ! if the tray sequence is displayed, place the reimaged item in its original location ! if the word “back” is displayed, place the reimaged item in the back of the reject pocket Note: You determine what is displayed in the Tray Sequence column using the ManualDistribution parameter, APP_TYPE_PSETS keyword. 218 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports End-of-Cycle Reports Second Source Match and Merge Performance Summary Report The Second Source Match and Merge Performance Summary report summarizes the processing information for the Second Source Match and Merge auto-activity. This report generates on the BAP database. For each item, this reports shows the following information: ! Classification: the type of item ! Total Records: the total number of the SMM records imported into the database for the current processing date (including items carried over from the previous day) ! Matched To Items %: the percentage of deposit slips and debit items that were matched to the physical items by SMM ! Not Matched To Items %: the percentage of deposit slips and debit items that were not matched to the physical items by SMM ! Matched To Deposit Slips %: the percentage of deposit slips that were matched to the physical items by SMM ! Forced Matches %: the percentage against volume of this type of item that were force matched by operators Truly Missing and Free Report The Truly Missing and Free report shows all of the items that could not be matched at Capture Reconciliation and therefore defined as truly missing or truly free. This report generates by cycle on the DAP database. The following information is shown in this report: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the entry number, followed by the pocket pass history ! MATCH: value is TRUMIS if the item is Truly Missing, TRUFRE if it is Truly Free ! EXCEPTION: the item’s exception reason ! ORIENT = outsorted because of orientation problem ! OEP = outsorted because of over-encode protection ! OR&OEP = outsorted because of both orientation and over-encode protection ! SUSPENSE = resolved suspense item ! OR&SUSP = resolved suspense item that was also an orientation problem ! OEP&SUSP = resolved suspense item that was also an over-encode protection problem ! OR&OEP&SU = resolved suspense item that was also both an orientation problem and over-encode protection problem ! DRN: the document reference number ! ON-US: whether the item is on-us ! YES = on-us item ImageMark Transaction Manager 4.2 System Administration 219 Chapter 5: Reports End-of-Cycle Reports ! NO = transit item ! a blank indicates a truly free or reconciled free item ! AMOUNT: the item amount ! CR/DB/NP: a code indicating whether the item was a credit (CR), a debit (DB), or a non-proof (NP) item ! FROM ENTRY: the number of the entry in which the item record was created. This field is blank unless the item is resolved to an entry other than the one it was captured in at the EPU. ! RECONCILED TRAY: the number of the tray in which the physical item would have been placed (if a missing item). This is the tray it should have gone to, where it should have been pocketed had it been seen at the ESU or resolved at Capture Reconciliation. If the item is truly free, this field is blank. ! the item’s codeline ! ! = transport reject character The TOTALS line of this report shows the total number of credit, debit and non-proof items that were processed, and the sum of these three numbers. User Permission and Login Information Report The User Permission and Login Information report lists each operator, what workgroup they are in, and what permissions they have. The following information is shown in this report: 220 ! Print Date: date the report was printed ! Application Type: type of application (report has a section for every application type that is installed on the system) ! Work Group Name: the name of the work group the operator belongs to ! Work Group Number: the number of the work group the operator belongs to ! Operator Name: the operator’s ImageMark user name ! Operator Number: the ID number assigned to that operator ! Date of Last Login: date when that operator last logged in to the ImageMark system, in mm/dd/yyyy format ! Date of Password Change (UNIX systems only): date on which that operator’s current password was set ! Permissions: the ImageMark activities that operator is allowed to work on ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports Operator Performance Reports You can generate the operator performance reports after the system has processed all of the reporting period’s work. They provide a complete overview of a reporting period’s work. The main categories of operator performance reports are as follows: ! ECU Transport Performance report ! EPU and ESU Transport Performance Statistics reports ! Image Quality Review Performance Summary report ! Operator Statistics reports ! Reconciliation Operator reports ! Resource Allocation report ECU Transport Performance Report This report shows the following information for each ECU operator session: ! Start Date and Time: date and time batch started in banking center ! Stop Time: time batch ended in banking center ! No. Jams: number of times this processing batch that the transport stopped due to a jam (including track jams, hardware problems, and control item problems such as a missing expected control item or an unexpected control item). Totals row shows number of jams for all runs. ! Start Seq. No.: sequence number of first item in batch Totals row shows sequence number of the first item processed (the lowest sequence number). ! End Seq. No.: sequence number of last item in batch Totals row shows sequence number of the last item processed (the highest sequence number). ! No. Items: number of physical items captured Totals row shows number of physical items captured for all runs. ! No. Rejects: number of capture application rejects Totals row shows number of rejected items for all runs. ! No. Unknown Items: number of EPA reject items Totals row shows number of EPA reject items for all runs. ! Items Per Minute: transport capture rate Totals row shows average number of documents processed per minute. ! Reject Rate: % of total number of physical items rejected at the transport Totals row shows % of total processed documents rejected at capture. The data for each transport is shown on a separate page. The report is ordered sequentially according to the transport number. The report does not include information about hold over units of work that have been re-loaded into the system. ImageMark Transaction Manager 4.2 System Administration 221 Chapter 5: Reports Operator Performance Reports EPU and ESU Transport Performance Statistics The EPU and ESU Transport Performance reports provide information about transport performance in the system. These reports generate on the BAP database. EPU Transport Performance Reports Capture has two EPU Transport Performance reports: ! EPU Transport Sessions Performance report ! EPU Transport Performance Summary report Note: For 779x transports, jam recovery times are not subtracted from the total transport run time. This will result in the statistics figures in these two reports being inflated for a 779X transport. EPU Transport Sessions Performance: This report shows the following information for each operator session on each EPU: ! Session Start Time: the time the operator started this activity ! Session End Time: the time this activity terminated ! Session Run Time: the total time spent processing entries or tray sets. Note that this total does not include the time in between processing, such as when the transport is idle, suspension due to hardware problems, or while the transport is being serviced. ! Total No. Items: number of physical items processed ! Average No. of Items per hour: average number of items processed per hour, based on the session run time ! No. of Transport Jams: number of times this session the transport stopped due to a jam. A jam is a situation that stops the track during processing, including track jams, hardware problems, and control item problems (for example, a missing expected control item or an unexpected control item). ! Downtime from Jams: total time spent recovering from jams ! Average Downtime from Jams: average time spent recovering from a jam ! No. of Other Transport Failures: number of failures other than jams ! Downtime from Transport Failures: total time spent recovering from all transport failures except those resulting from jams ! Average Downtime from Transport Failures: average time to recover from a transport failure ! No. of Rejected Images: number of images captured by the EPU and later rejected by an IDT operator due to poor image quality. This option is only available if the associated parameter is enabled in IDT_RECLASSIFY_CODES. ! No. of Fields Rejected: number of fields rejected ! No. of Fields Misread: number of fields misread EPU Transport Performance Summary: This report shows the same information as the EPU Transport Sessions Performance report, but accumulates the data across all sessions of all EPUs in the system. 222 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ESU Transport Performance Reports Capture has two ESU Transport Performance reports: ! ESU Transport Sessions Performance report ! ESU Transport Performance Summary report ESU Transport Sessions Performance This report shows the following information for each operator session on each ESU: ! Session Start Time: the time the operator started this activity ! Session End Time: the time this activity terminated ! Session Run Time: the total time spent processing entries or tray sets. Note that this total does NOT include the time in between processing, such as when the transport is idle, while the operator is waiting for work within the activity, after a tray set has ended (while Stacking Selection screen is displayed), suspension due to hardware problems, or while the transport is being serviced. ! Total No. Items: number of physical items processed ! Average No. of Items per hour: average number of items processed per hour (not including idle time) ! No. of Transport Jams: number of times this session the transport stopped due to a jam. A jam is a situation that stops the track during processing, including track jams, hardware problems, and control item problems (for example, a missing expected control item or an unexpected control item). ! Downtime from Jams: total time spent recovering from jams ! Average Downtime from Jams: average time spent recovering from each jam ! No. of Other Transport Failures: number of failures other than jams ! Downtime from Transport Failures: total time spent recovering from all transport failures except those resulting from jams ! Average Downtime from Transport Failures: average time spent recovering from each transport failure ! No. of MICR Verify Errors: number of times this ESU’s MICR Verifier found an encoding error ESU Transport Performance Summary: This report shows the same information as the ESU Transport Sessions Performance report, but accumulates the data across all sessions of all ESUs in the system. ImageMark Transaction Manager 4.2 System Administration 223 Chapter 5: Reports Operator Performance Reports Image Quality Review Performance Summary Report This report shows, for every IQR operator who processed images in the current cycle, how many items were reviewed and, of those, how many items were flagged as IQ Rejects. There is one row for each operator per reporting period. The total time taken to review the images, and the corresponding images reviewed per hour rate are also be included in this report. All fields have grand totals for the reporting period. This report lists the following data for each operator: 224 ! Reporting Period: time range during which this data was recorded ! Date: date this report was generated ! Operator Number: number that identifies the operator doing IQR ! Action Time: total amount of time the operator was doing IQR ! Total Number of Images: number of images reviewed by the operator ! Average Hourly Rate: calculated hourly rate of image review by the operator ! Total No. Images Rejected: number of images that the operator marked as bad ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports Operator Statistics The Operator Statistics reports provide performance statistics for the operators who work on the IDT activities: Codeline Completion, Optional Field Completion, Amount Keying, Balancing, Expert Balancing, and Deposit Review. There are four types of reports for each of these activities: ! Operator Sessions Activity report ! Operator Performance Summary report ! Grand Total Performance report ! Operator Performance Detail report There is one additional report that is only for Balancing: ! Balancing Operator Enhanced Performance Detail report These reports generate by reporting period and workgroup on the BAP database. Operator Sessions Activity Report The Operator Sessions Activity report shows how each operator’s time was spent during each session of the specified activity (working, waiting for work within an activity, and not working for some other reason). This report has the same format for all IDT activities. ! Session Start Time: the time the operator started this activity ! Session End Time: the time this activity terminated ! Session Duration: the time lapse between operator logon and activity termination ! Session Action Time: total elapsed time in the session available for the operator to work (this total does not include idle time, suspend time, or lost action time) ! Lost Action Time: session time lost to abnormal termination (if any) ! Wait For Work Time: total time that the operator was idle waiting for work within an activity ! System Overhead: total time that the system was busy on overhead tasks, such as loading parameters or retrieving work ! Total Suspend Duration: total time that the operator had the software activity in a suspend state (for example, for breaks). Not all suspend activities necessarily contribute to this total. Parameters can be set to allow work to continue. ! Suspend Start Time: the time the operator selected a suspend activity ! Suspend Duration: the duration of each period that the operator had the software in a suspend state ! Activity Reason: activity code chosen by the operator, indicating why the system was suspended (for example, taking a regularly scheduled break). This code is customized for each site through the Operator Activity parameters. ImageMark Transaction Manager 4.2 System Administration 225 Chapter 5: Reports Operator Performance Reports Operator Performance Summary Report The Operator Performance Summary report shows each operator’s individual cumulative performance for all the sessions that the operator has worked on the specified activity. Because of the similarities in the work involved, the Operator Performance Summary reports for Balancing and Expert Balancing have a common format. Codeline Completion and Optional Field Completion: The Operator Performance Summary reports for Codeline Completion and Optional Field Completion contain the following information for each operator: ! Operator Number: unique operator number ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Items Pres’d: total number of items presented at Codeline Completion in these sessions. Both keyed and rekeyed items are included in this total. ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Items Rekeyed: total number of items that were rekeyed so that non-CDV (Check Digit Verification) protected fields could be validated. This option is parameterized; if it is not enabled, this field is blank. ! Total Keyed Fields Corr’d: number of fields (NOT items) keyed incorrectly by this operator and corrected later in workflow by other operators (check the ImageMark Transaction Manager Audit report for details of the changes made and how they were subsequently corrected) ! No. Actual Key Strokes: total number of buttons pressed by this operator. For example, pressing 1, 00, 00 is three actual keystrokes. ! No. Key Strokes Credits: number of characters credited to the operator. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ! Avg. Hourly Key Strokes: number of actual keystrokes divided by action time ! No. of EXP P/C Keyed/Errors: total number of EXP P/C fields (field 6) keyed, displayed over the number of EXP P/C fields keyed incorrectly by this operator ! No. of SERIAL Keyed/Errors: total number of SERIAL fields (field 5) keyed, displayed over the number of SERIAL fields keyed incorrectly by this operator ! No. of TRANSIT Keyed/Errors: total number of TRANSIT (field 4) fields keyed, displayed over the number of TRANSIT fields keyed incorrectly by this operator ! No. of ACCOUNT Keyed/Errors: total number of ACCOUNT (field 3) fields keyed, displayed over the number of ACCOUNT fields keyed incorrectly by this operator ! No. of TRANCOD Keyed/Errors: total number of TRANCODE (field 2) fields keyed, displayed over the number of TRANCODE fields keyed incorrectly by this operator ! No. of AMOUNT Keyed/Errors: total number of AMOUNT fields (field 1) keyed, displayed over the number of AMOUNT fields keyed incorrectly by this operator Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. 226 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports Amount Keying: The Operator Performance Summary report for Amount Keying contains the following information for each operator: ! Operator Number: unique operator number ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Items: total number of items processed at Amount Keying in these sessions ! Avg. Hourly Rate: total number of items divided by action time ! Total Keyed Fields Corr’d: number of fields keyed incorrectly by this operator and corrected later in workflow by other operators ! No. Actual Key Strokes: total number of buttons pressed by this operator. For example, pressing 1, 00, 00 is three actual keystrokes. ! No. Key Strokes Credits: number of characters credited to the operator. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ! Avg. Hourly Key Strokes: number of actual keystrokes divided by action time Fields additional to the AMOUNT field are also displayed in the Amount Keying Operator Performance Summary report. The Amount Keying Activity can be parameterized so that the operator is not restricted to keying the AMOUNT field. ! No. of EXP P/C Keyed/Errors: total number of EXP P/C fields (field 6) keyed, displayed over the number of EXP P/C fields keyed incorrectly by this operator ! No. of SERIAL Keyed/Errors: total number of SERIAL fields (field 5) keyed, displayed over the number of SERIAL fields keyed incorrectly by this operator ! No. of TRANSIT Keyed/Errors: total number of TRANSIT (field 4) fields keyed, displayed over the number of TRANSIT fields keyed incorrectly by this operator ! No. of ACCOUNT Keyed/Errors: total number of ACCOUNT (field 3) fields keyed, displayed over the number of ACCOUNT fields keyed incorrectly by this operator ! No. of TRNCODE Keyed/Errors: total number of TRANCODE (field 2) fields keyed, displayed over the number of TRANCODE fields keyed incorrectly by this operator ! No. of AMOUNT Keyed/Errors: total number of AMOUNT fields (field 1) keyed, displayed over the number of AMOUNT fields keyed incorrectly by this operator. This total may be lower than the Total No. Items because it only includes items the operator keyed the amount for. The discrepancy between this number and the total number may be due to the operator using the reject key to reject items. Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. ImageMark Transaction Manager 4.2 System Administration 227 Chapter 5: Reports Operator Performance Reports Balancing and Expert Balancing: The Operator Performance Summary reports for Balancing and Expert Balancing contain the following information for each operator: ! Operator Number: unique operator number ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Items: total number of items processed in these sessions. For Balancing and Expert Balancing this number reflects the total number of items in the batches the operator worked on. If more than one operator works on the same batch, both operators get credit for the number of items in that batch. ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Batches: total number of batches processed ! Total No. Items Inserted: total number of balancing adjustments, including showouts ! Total No. Fields Keyed: total number of fields keyed by this operator ! Total No. Keyed Flds Corrected: number of fields keyed incorrectly by this operator and corrected later in workflow by other operators ! No. Images Rejected: number of images rejected by this operator ! No. Actual Keystroke: total number of buttons pressed by this operator. For example, pressing 1, 00, 00 is three actual keystrokes. ! No. Keystroke Credits: number of buttons credited to the operator. If a field is keyed and accepted, the operator is credited for the buttons pressed for that field. For example, pressing 1, 00, 00 is three keystroke credits. Block Balancing and Expert Block Balancing: The Operator Performance Summary reports for Block Balancing and Expert Block Balancing provide a one-line summary for each operator. The report data is a cumulative total of the listed data for all Block Balancing and Expert Block Balancing sessions for each operator. Both Block Balancing and Offline Block Balancing activities can be included in this report (with a separate section for each activity). The following columns are displayed: ! Operator Number: operator’s ID number ! Action Time: time in the session available to operator for working ! Total No. Items: number of items processed in this session ! Avg. Hourly Rate: total number of items divided by action time. If multiple operators per entry, average hourly rate is based on: no. of changes done by this operator x total no. of items in the entry no. of changes done by all operators 228 ! Total No. Items Inserted: number of adjustments made in this session ! Total No. Fields Keyed: number of fields keyed by this operator ! Total No. Keyd Flds Corrected: number of fields keyed incorrectly by this operator ! No. Images Rejected: number of images this operator rejected during this session ! Blocks Split: number of blocks split by this operator ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ! Batches Split: number of batches split by this operator ! Batches Moved: number of batches moved to different blocks by this operator These columns reflect suspect validation statistics: ! MICR Misreads: number of MICR misreads that were detected in this session ! Misenc: number of misencoded amounts that were detected in this session ! Miskey: number of amount keying errors that were detected during this session Deposit Review The Operator Performance Summary report for Deposit Review contains the following information for each operator: ! Operator Number: unique operator number ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Deposits Reviewed: total number of deposits processed in this session ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Deposits Hold Reviewed: total number of deposits hold reviewed by this operator in this session ! Total No. Deposits NonNegotiable Reviewed: total number of non-negotiable deposits reviewed by this operator in this session ! Total No. Holds Applied: total number of holds applied to confirmed hold deposits in this session (up to 4 holds are allowed per deposit) ! Total No. Holds Removed: total number of holds removed from hold deposits in this session ! Total No. Items Made Non-Negotiable: total number of items reclassified as non-negotiable in this session ! Total No. of Hold Deposits no Change: total number of deposits that were marked for hold review, in which the operator made no hold change ! Total No. of Non-Negotiable Deposits No Change: total number of deposits that were marked for non-negotiable review in which the operator made no hold change ! Total No. Deposits Returned Incomplete: total number of deposits that were presented for review but were returned as incomplete ! Total No. Deposits Returned Completed: total number of deposits that were presented for review and were returned as complete because of a timed-out Web session or work timeout ! Total No. of Deposits Timed Out: total number of deposits that were presented for review and were returned because of a timed-out Web session or work timeout Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. ImageMark Transaction Manager 4.2 System Administration 229 Chapter 5: Reports Operator Performance Reports Operator Performance Detail Report The Operator Performance Detail reports show the same kind of information for each IDT operator as the Operator Performance Summary reports. But for each operator, instead of showing a single line of cumulative data for all sessions, the Detail report shows a separate line for each session. Codeline Completion and Optional Field Completion: The Operator Performance Detail reports for Codeline Completion and Optional Field Completion contain the following information for each operator: ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Items Pres’d: total number of items presented in these sessions. Both keyed and rekeyed items are included in this total. ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Items Rekeyed: total number of items that were rekeyed so that non-CDV (Check Digit Verification) protected fields could be validated. This option is parameterized; if it is not enabled, this field is blank. ! Total Keyed Fields Corr’d: number of fields keyed incorrectly by this operator and corrected later in workflow by other operators ! No. Actual Key Strokes: total number of buttons pressed by this operator. For example, pressing 1, 00, 00 is three actual keystrokes. ! No. Key Strokes Credits: number of characters credited to the operator. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ! Avg. Hourly Key Strokes: number of actual keystrokes divided by action time ! No. of EXP P/C Keyed/Errors: total number of EXP P/C fields (field 6) keyed, displayed over the number of EXP P/C fields keyed incorrectly by this operator ! No. of SERIAL Keyed/Errors: total number of SERIAL fields (field 5) keyed, displayed over the number of SERIAL fields keyed incorrectly by this operator ! No. of TRANSIT Keyed/Errors: total number of TRANSIT (field 4) fields keyed, displayed over the number of TRANSIT fields keyed incorrectly by this operator ! No. of ACCOUNT Keyed/Errors: total number of ACCOUNT (field 3) fields keyed, displayed over the number of ACCOUNT fields keyed incorrectly by this operator ! No. of TRNCODE Keyed/Errors: total number of TRANCODE (field 2) fields keyed, displayed over the number of TRANCODE fields keyed incorrectly by this operator ! No. of AMOUNT Keyed/Errors: total number of AMOUNT fields (field 1) keyed, displayed over the number of AMOUNT fields keyed incorrectly by this operator Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. Amount Keying: The Operator Performance Detail report for Amount Keying contains the following information for each operator: 230 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Items: total number of items processed in these sessions ! Avg. Hourly Rate: total number of items divided by action time ! Total Keyed Fields Corr’d: number of fields keyed incorrectly by this operator and corrected later by other operators ! No. Actual Key Strokes: total number of buttons pressed by this operator. For example, pressing 1, 00, 00 is three actual keystrokes. ! No. Key Strokes Credits: number of characters credited to the operator. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ! Avg. Hourly Key Strokes: number of actual keystrokes divided by action time Fields additional to the AMOUNT field are also displayed in the Amount Keying Operator Performance Summary report. The Amount Keying Activity can be parameterized so that the operator is not restricted to keying the AMOUNT field. ! No. of EXP P/C Keyed/Errors: total number of EXP P/C fields (field 6) keyed, displayed over the number of EXP P/C fields keyed incorrectly by this operator ! No. of SERIAL Keyed/Errors: total number of SERIAL fields (field 5) keyed, displayed over the number of SERIAL fields keyed incorrectly by this operator ! No. of TRANSIT Keyed/Errors: total number of TRANSIT (field 4) fields keyed, displayed over the number of TRANSIT fields keyed incorrectly by this operator ! No. of ACCOUNT Keyed/Errors: total number of ACCOUNT (field 3) fields keyed, displayed over the number of ACCOUNT fields keyed incorrectly by this operator ! No. of TRNCODE Keyed/Errors: total number of TRANCODE (field 2) fields keyed, displayed over the number of TRANCODE fields keyed incorrectly by this operator ! No. of AMOUNT Keyed/Errors: total number of AMOUNT fields (field 1) keyed, displayed over the number of AMOUNT fields keyed incorrectly by this operator. This total may be lower than the Total No. Items because it only includes items the operator keyed the amount for. The discrepancy between this number and the total number may be due to the operator using the reject key to reject items. Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. Balancing and Expert Balancing: The Operator Performance Detail reports for Balancing and Expert Balancing contain the following information for each operator: ! Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Total No. Items: total number of items processed in these sessions. For Balancing and Expert Balancing this number reflects the total number of items in the batches the operator worked on. If more than one operator works on the same batch, both operators get credit for the number of items in that batch. ImageMark Transaction Manager 4.2 System Administration 231 Chapter 5: Reports Operator Performance Reports ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Batches: total number of batches processed in this session ! Total No. Items Inserted: total number of balancing adjustments, including showout made ! Total No. Fields Keyed: total number of fields keyed by this operator ! Total No. Keyd Flds Corrected: total number of fields keyed incorrectly by this operator and corrected later in workflow by other operators ! No. Images Rejected: total number of images this operator rejected during this session ! No. Actual Keystroke: total number of buttons pressed by this operator. For example, pressing 1, 00, 00 is three actual keystrokes. ! No. Keystroke Credits: number of buttons credited to the operator. If a field is keyed and accepted, the operator is credited for the buttons pressed for that field. For example, pressing 1, 00, 00 is three keystroke credits. Block Balancing and Expert Block Balancing: The Operator Performance Detail reports for Block Balancing and Expert Block Balancing give the same information as the Block Balancing and Expert Block Balancing Operator Performance Summary Reports, in greater detail. Instead of providing one line per operator, these reports provide one section for each operator. Each section contains several lines of information, one for each session performed by that operator. Both Block Balancing and Offline Block Balancing activities can be included in this report (with a separate section for each activity). The following columns are displayed: ! Action Time: time in the session available to operator for working ! Total No. Items: number of items processed in this session ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Items Inserted: number of adjustments made in this session ! Total No. Fields Keyed: number of fields keyed by this operator ! Total No. Keyd Flds Corrected: number of fields keyed incorrectly by this operator ! No. Images Rejected: number of images this operator rejected during this session ! Blocks Split: number of blocks split by this operator ! Batches Split: number of batches split by this operator ! Batches Moved: number of batches moved to different blocks by this operator These columns reflect suspect validation statistics: ! MICR Misreads: number of misread MICR amounts that occurred in this session ! Misenc: number of misencoded amounts that occurred in this session ! Miskey: number of amount keying errors by this operator during this session Deposit Review The Operator Performance Detail report for Deposit Review contains the following information for each operator: ! 232 Action Time: total time available for operator to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ! Total No. Deposits Reviewed: total number of items presented in these sessions. Both keyed and rekeyed items are included in this total. ! Avg. Hourly Rate: total number of items divided by action time ! Total No. Deposits Hold Reviewed: total number of deposits hold reviewed by this operator in this session ! Total No. Deposits NonNegotiable Reviewed: total number of non-negotiable deposits reviewed by this operator in this session ! Total No. Holds Applied: total number of holds applied to confirmed hold deposits in this session (up to 4 holds are allowed per deposit) ! Total No. Holds Removed: total number of holds removed from hold deposits in this session ! Total No. Items Made Non-Negotiable: total number of items reclassified as non-negotiable in this session ! Total No. of Hold Deposits no Change: total number of deposits that were marked for hold review, in which the operator made no hold change ! Total No. of Non-Negotiable Deposits No Change: total number of deposits that were marked for non-negotiable review in which the operator made no hold change ! Total No. Deposits Returned Incomplete: total number of deposits that were presented for review but were returned as incomplete ! Total No. Deposits Returned Completed: total number of deposits that were presented for review and were returned as complete ! Total No. of Deposits Timed Out: total number of deposits that were presented for review and were returned because of a timed-out Web session or work timeout Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. Grand Total Performance Report The Grand Total Performance report for each IDT activity is similar to the Operator Performance Summary reports, but rather than showing a separate line of cumulative data for each operator, the Grand Total report shows combined cumulative data for all operators and all sessions of the activity since this application instance was first loaded. Codeline Completion and Optional Field Completion: The Grand Total Performance reports for Codeline Completion and Optional Field Completion contain the following information: ! Cum. Action Time: cumulative time available for all operators to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Cum. Total No. Items Pres’d: cumulative number of items presented in these sessions, including both keyed and rekeyed items ! Cum. Avg. Hourly Rate: cumulative number of items divided by action time ! Cum. Total No. Items Rekeyed: cumulative total number of items that were rekeyed so that nonCDV (Check Digit Verification) protected fields could be validated. This option is parameterized; if it is not enabled, this field is blank. ImageMark Transaction Manager 4.2 System Administration 233 Chapter 5: Reports Operator Performance Reports ! Cum. Total Keyed Fields Corr’d: cumulative number of fields keyed incorrectly and corrected later in workflow ! Cum. No. Actual Key Strokes: cumulative number of buttons pressed. For example, pressing 1, 00, 00 is three actual keystrokes. ! Cum. No. Key Strokes Credits: cumulative number of characters credited to all operators. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ! Cum. Avg. Hourly Key Strokes: cumulative number of actual keystrokes in all operator sessions divided by action time ! Cum. No. of EXP P/C Keyed/Errors: total number of EXP P/C fields (field 6) keyed, displayed over the number of EXP P/C fields keyed incorrectly by this operator ! Cum. No. of SERIAL Keyed/Errors: total number of SERIAL fields (field 5) keyed, displayed over the number of SERIAL fields keyed incorrectly by this operator ! Cum. No. of TRANSIT Keyed/Errors: total number of TRANSIT (field 4) fields keyed, displayed over the number of TRANSIT fields keyed incorrectly by this operator ! Cum. No. of ACCOUNT Keyed/Errors: total number of ACCOUNT (field 3) fields keyed, displayed over the number of ACCOUNT fields keyed incorrectly by this operator ! Cum. No. of TRNCODE Keyed/Errors: total number of TRANCODE (field 2) fields keyed, displayed over the number of TRANCODE fields keyed incorrectly by this operator ! Cum. No. of AMOUNT Keyed/Errors: total number of AMOUNT fields (field 1) keyed, displayed over the number of AMOUNT fields keyed incorrectly by this operator Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. Amount Keying: The Grand Total Performance report for Amount Keying contains the following information: ! Cum. Action Time: cumulative time available for all operators to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Cum. Total No. Items: cumulative number of items processed in these sessions ! Cum. Avg. Hourly Rate: cumulative number of items divided by action time ! Cum. Total Keyed Fields Corr’d: cumulative number of fields keyed incorrectly and corrected later in workflow ! Cum. No. Actual Key Strokes: cumulative number of buttons pressed. For example, pressing 1, 00, 00 is three actual keystrokes. ! Cum. No. Key Strokes Credits: cumulative number of characters credited to all operators. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ! Cum. Avg. Hourly Key Strokes: cumulative number of actual keystrokes keyed in all operator sessions divided by action time Fields additional to the AMOUNT field are also displayed in the Amount Keying Operator Performance Summary report. The Amount Keying Activity can be parameterized so that the operator is not restricted to keying the AMOUNT field. 234 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ! Cum. No. of EXP P/C Keyed/Errors: total number of EXP P/C fields (field 6) keyed, displayed over the number of EXP P/C fields keyed incorrectly by this operator ! Cum. No. of SERIAL Keyed/Errors: total number of SERIAL fields (field 5) keyed, displayed over the number of SERIAL fields keyed incorrectly by this operator ! Cum. No. of TRANSIT Keyed/Errors: total number of TRANSIT (field 4) fields keyed, displayed over the number of TRANSIT fields keyed incorrectly by this operator ! Cum. No. of ACCOUNT Keyed/Errors: total number of ACCOUNT (field 3) fields keyed, displayed over the number of ACCOUNT fields keyed incorrectly by this operator ! Cum. No. of TRNCODE Keyed/Errors: total number of TRANCODE (field 2) fields keyed, displayed over the number of TRANCODE fields keyed incorrectly by this operator ! Cum. No. of AMOUNT Keyed/Errors: total number of AMOUNT fields (field 1) keyed, displayed over the number of AMOUNT fields keyed incorrectly by this operator. This total may be lower than the Total No. Items because it only includes items the operator keyed the amount for. The discrepancy between this number and the total number may be due to the operator using the reject key to reject items. Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. Balancing and Expert Balancing: The Grand Total Performance reports for Balancing and Expert Balancing contain the following information: ! Cum. Action Time: cumulative time available for all operator sessions (this total does not include idle time, suspend time, or lost action time) ! Cum. Total No. Items: cumulative number of items processed in all operator sessions. This number reflects the total number of items in the batches the operators worked on. ! Cum. Avg. Hourly Rate: cumulative number of items processed divided by the sum of the action time for all operator sessions ! Cum. Total No. Batches: cumulative number of batches processed in all operator sessions ! Cum. Total No. Items Inserted: cumulative number of adjustments, including showouts, made in all operator sessions ! Cum. Total No. Fields Keyed: cumulative number of fields keyed in all operator sessions ! Cum. Total No. Keyd Flds Corrected: cumulative number of fields keyed incorrectly in all operator sessions ! Cum. No. Images Rejected: cumulative number of images rejected in all operator sessions ! Cum. No. Actual Keystroke: cumulative number of buttons pressed. For example, pressing 1, 00, 00 is three actual keystrokes. ! Cum. No. Keystroke Credits: cumulative number of characters credited to all operators. If a field is keyed and accepted, the operator is credited for the characters keyed for that field. For example, pressing 1, 00, 00 is five keystroke credits. ImageMark Transaction Manager 4.2 System Administration 235 Chapter 5: Reports Operator Performance Reports Block Balancing and Expert Block Balancing: The Grand Total Performance reports for Block Balancing and Expert Block Balancing provide a performance summary for all Block Balancing and Expert Block Balancing operators across all sessions in a specified date range. Both Block Balancing and Offline Block Balancing activities can be included in this report (with a separate section for each activity). The following columns are displayed: ! Cum. Action Time: total time in all sessions available to operators for working ! Cum. Total No. Items: total number of items processed in all operator sessions ! Cum. Avg. Hourly Rate: sum of total number of items processed divided by sum of action time across all operator sessions ! Cum. Total No. Items Inserted: sum of total number of adjustments made in all operator sessions ! Cum. Total No. Fields Keyed: total number of fields keyed by all operators in all sessions ! Cum. Total No. Keyd Flds Corrected: total number of fields keyed incorrectly by all operators in all sessions ! Cum. No. Images Rejected: total number of images rejected by all operators in all sessions ! Cum. Blocks Split: total number of blocks split by all operators in all sessions ! Cum. Batches Split: total number of batches split by all operators in all sessions ! Cum. Batches Moved: total number of batches moved to different blocks by all operators in all sessions These columns reflect suspect validation statistics: ! Cum. MICR Misreads: total number of misread MICR amounts that occurred in all operator sessions ! Cum. Misenc: total number of misencoded amounts that occurred in all operator sessions ! Cum. Miskey: total number of amount keying errors by all operators during all sessions Deposit Review The Grand Total Performance report for Deposit Review contains the following information: 236 ! Cum. Action Time: cumulative time available for all operators to work in all sessions covered by this report (this total does not include idle time, suspend time, or lost action time) ! Cum. Total No. Deposits Reviewed: cumulative number of deposits reviewed in these sessions ! Cum. Avg. Hourly Rate: cumulative number of deposits reviewed divided by action time ! Cum. Total No. Deposits Hold Reviewed: cumulative number of deposits hold reviewed by all operators in this session ! Cum. Total No. Deposits Non-Negotiable Reviewed: cumulative number of deposits nonnegotiable reviewed by all operators in this session ! Cum. Total No. Holds Applied: cumulative number of holds applied to deposits by all operators in this session. Up to 4 holds are allowed per item. ! Cum. Total No. Holds Removed: cumulative number of holds removed from deposits by all operators in this session ! Cum. Total No. Items Non-Negotiable: cumulative number of items reclassified as nonnegotiable in all operator sessions ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ! Cum. Total No. of Hold Deposits No Change: cumulative number of deposits in this session that were marked for hold review, in which an operator made no hold change ! Cum. Total No. of Non-Negotiable Deposits No Change: cumulative number of deposits in this session that were marked for non-negotiable review, in which an operator made no hold change ! Cum. Total No. Deposits Returned Incomplete: cumulative number of deposits that were presented for review but were returned as incomplete in this session ! Cum. Total No. of Deposits Returned Completed: cumulative number of deposits that were presented for review and were returned as complete in this session ! Cum. Total No. of Deposits Timed Out: cumulative number of deposits that were presented for review but were returned because of a timed out web session or work timeout in this session ! Total No. Deposits Created for Review: number of deposits that the deposit review autorole flagged for review ! Total No. Deposits Created for Hold Review: number of deposits that the deposit review autorole flagged for hold review ! Total No. Deposits Created for Nonnegotiable Review: number of deposits that the deposit review autorole flagged for negotiable review ! Total No. Automatic Holds Applied: Number of automatic holds applied by the autorole ! Total No. Automatic Nonnegotiable Changes: number of automatic non-negotiable changes applied by the autorole ! Total No Deposits Flagged for ReReview: number of deposits that the autorole flagged for rereview by operators ! Total No. Deposits Processed: number of deposits that the autorole processed Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). Fields 7 through 10 are not displayed, because they are turned off (field size 0) by default in this file. The report utility truncates the field name to fit the column width in the report. Reconciliation Operator Reports The Reconciliation operator reports provide a summary of each operator’s session that matches Reconciliation or Expert Reconciliation operator statistics. These reports are essentially enhanced versions of the Balancing/Expert Balancing operator statistics reports with some additional data. The following information for reconciliation operators (and expert reconciliation operators, if applicable to your environment) is included in the Performance Summary and Performance Detail reports listed previously in this section: ! Total No. Images Reimaged: total number of images this operator reimaged ! Total No. Items Missing: total number of items matched through second source matching that this operator unmatched The following information for reconciliation operators (and expert reconciliation operators, if applicable to your environment) is included in the Grand Total Performance reports: ! Cum. No. Items Reimaged: cumulative total number of images all operators re-imaged ! Cum. No. Items Missing: cumulative number of items matched through second source matching that all operators unmatched ImageMark Transaction Manager 4.2 System Administration 237 Chapter 5: Reports Operator Performance Reports Balancing Operator Enhanced Performance Detail Report This report is an operator statistics report that provides additional balancing statistics for each operator. For each balancing operator who processed work during the processing day, the report has one line of output that combines the results of all sessions during the processing day for that operator. The report is a comma separated flat-file, so the information can be easily imported into another application for further processing. Note: Operators do not view this report. Each line in the file consists of the operator number followed by these 29 fields of information: ! total amount of time in seconds the operator spent balancing transactions ! total number of batches the operator completely balanced ! total number of items in the batches balanced by the operator ! total number of batches the operator sent to Expert Balancing ! total number of items in the batches the operator sent to Expert Balancing ! total number of batches returned by the operator ! total number of items in the batches returned by the operator ! total number of credits in the batches balanced by the operator ! total number of debits in the batches balanced by the operator ! total number of items corrected by the operator ! total number of fields corrected by the operator Note: A field is considered corrected if the operator changes the value in a field, the value is changed during re-imaging, or the operator reclassifies the item. An adjustment is not considered a correction. ! total number of keystrokes made by the operator ! total number of items the operator reclassified to non-proof ! total number of items the operator moved into the suspense pool ! total number of items the operator moved out of the suspense pool ! total number of items the operator moved between transactions Note: Moving an item from one transaction to another and then back again counts as two moves. 238 ! total number of tape substitute documents ! total number of type 1 adjustments made by the operator ! total number of type 2 adjustments made by the operator ! total number of type 3 adjustments made by the operator ! total number of type 4 adjustments made by the operator ! total number of type 5 adjustments made by the operator ! total number of type 6 adjustments made by the operator ! total number of type 7 adjustments made by the operator ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Operator Performance Reports ! total number of type 8 adjustments made by the operator ! total number of type 9 adjustments made by the operator ! total number of type 10 adjustments made by the operator Note: The adjustment type refers to a group of adjustments that maps to the IDT_ADJUSTMENT_CODES AdjReasonCode parameter. Duplicate adjustment reason codes are allowed across groupings. If the adjustment type is not defined, the report shows a 0. ! total number of items the operator located by pressing Suspect ! total number of items that were changed after being located by pressing Suspect ImageMark Transaction Manager 4.2 System Administration 239 Chapter 5: Reports Operator Performance Reports Resource Allocation Report The Resource Allocation report provides a summary of session activity for individual operators within a workgroup and the totals for all operators in that workgroup. The session activity information provides the following information for each activity on which the operator worked: ! ACTV: the activity on which the operator worked ! SESSION START TIME: the time the operator started the activity ! SESSION END TIME: the time the activity terminated ! SESSION DURATION: the time lapse between activity start and activity termination ! SESSION ACTION TIME: the total elapsed time in the session available for the operator to work (this total does not include idle time, suspend time, or lost action time) ! WAIT FOR WORK TIME: total time that the operator was idle waiting for work within an activity ! WAIT FOR WORK %: percentage of total time that the operator waited for work ! WORK READY TIME: total time that available work was not selected by the operator (ESU or Capture Reconciliation only) ! WORK READY %: percentage of total time that available work was not selected by the operator (ESU or Capture Reconciliation only) ! SUSPEND DURATION: total time that the operator had the software activity in a suspended state (for example, for breaks) ! SYSTEM OVERHEAD %: the percentage of time the system was busy on overhead tasks, such as loading parameters or retrieving work For each operator, a summary line shows totals for: ! Duration: the total time that the operator was logged onto the system components ! Action Time: the total time that the operator was actually working ! Wait For Work Time: the total time that the operator waited for work The final entry for each workgroup contains the same fields as the individual operator reports, but shows cumulative totals for every operator at each activity. The totals for all activities are displayed at the bottom of the entry. 240 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports Auto-Activity Reports ImageMark Transaction Manager automatically generates auto-activity reports. Auto-activity reports can be categorized by the background programs (auto-activities) that create them. ImageMark Transaction Manager can automatically print two sets of reports: ! Entry Item reports ! Tray Set reports ! ATM reports This section contains samples of the auto-activity reports and descriptions of their contents. Note: The term “host entry” in the following samples is equivalent to “host job” for SuperMICR systems. Depending on how your system has been configured, the system may print any or all of the Entry Item and Tray Set reports described on the following pages. For more information, see the report parameter information in ImageMark Transaction Manager Parameter Generation: ASCII Files. For instructions on how to manually view and print auto-activity reports using Application Manager, see “Managing the Print Spooler” on page 64. Entry Item Reports The Entry Item reports provide information about all of the items in each entry processed at each EPU. The Entry Item Reports (EIR) auto-activity creates these reports once all the batches in an entry have been balanced. These reports use information from Balanced Item Export and Sub-Pass Item Export auto-activities and the Capture Reconciliation activity. These are the Entry Item reports: ! Entry Summary report ! All Items report ! Batch Proof List report ! Adjustment/Corrections report ! Suspense Items In EPU Kill Pockets report ! Suspense Items in EPU Reject Pocket report ! Items Reassigned from EPU Kill Pocket report ! Items Pull reports ! SMM Results report ! EIR Deposit Corrections report ! EIR Deposit Review Host report ! Misencode Detail report ! Low-Speed Items in High-Speed Pockets report ImageMark Transaction Manager 4.2 System Administration 241 Chapter 5: Reports Auto-Activity Reports You should print the All Items and Batch Proof List reports to file instead of paper. In high-production environments, these reports slow the system down. To avoid printing these reports every time, you can change the parameters in the report file. Note: You can enable or disable these reports in EIR_RPT_GEN (eirgen.dat). Entry Summary Report The Entry Summary report provides summary information for each batch within an entry. This report also shows totals for the entry as a whole. The following information is shown in this report: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! Block: the number of the block the entry belongs to ! BATCH No.: identifying number of batch ! TOTAL ITEMS: the total number of items in the batch, not including items in the Suspense Pool. ! CR COUNT: the number of credits in the batch ! DR COUNT: the number of debits in the batch ! TOTAL DR+CR COUNT: the total number of debits and credits in the batch ! CR TOTAL: the amount total for the credits ! DR TOTAL: the amount total for the debits Note: Blocks shown with $0.00 and 0 credits and debits are control items. They are listed separately. At the end of the report, similar totals are given for the entry as a whole. All Items Report The All Items report provides detailed information for every item in an entry. Note: Printing to file will not result in a performance decline, but, due to the volume of data generated for this report, printing to paper may slow the system. The following information is shown in this report: 242 ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! BATCH No.: identifying number of batch ! DRN: the Document Reference Number ! TYPE: item classification ! CR = credit ! NP = non-proof ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports ! (no value) = debit ! RECORD: document record ID ! DISTRIBUTION NAME: the name of the distribution to which this item belongs ! EXPT: if an exception item, this code identifies the type: ! O = unresolved suspense item or outsort item ! U = orientation item ! G = control ghost item ! S = suspense ghost item (resolved suspense) ! A = adjustment ghost item ! P = physical adjustment item (for example, a piggyback item) ! M = moved item Note: A ghost item is a non-physical item (an electronic record). ! SERIAL, FRDABA, ACCOUNT No., TRAN: values for any or all of these fields, if captured ! AMOUNT: the value of the amount field Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). The report utility truncates the field name to fit the column width in the report. Batch Proof List Report The Batch Proof List report resembles the All Items report, but is organized by batches. Note: Printing to file will not result in a performance decline, but, due to the volume of data generated for this report, printing to paper may slow the system. For each batch, this report first shows the following summary information: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! Block: the number of the block the work belongs to ! Batch: the number of the batch the work belongs to ! Items in Batch: total number of items in batch ! Header Amount: the amount on the batch header ! Total Debits: total debit amount for the batch ! Total Credits: total credit amount for the batch ! Total NPDR: NP debit amount from Batch table ! Total NPCR: NP credit amount from Batch table For each item in the batch, this report then shows: ! DRN: the Document Reference Number ! AMOUNT: value of the amount field ImageMark Transaction Manager 4.2 System Administration 243 Chapter 5: Reports Auto-Activity Reports ! TYPE: item classification from document data record ! EXPT: if an exception item, this code identifies the type: ! O = unresolved suspense item or outsort item ! U = orientation item ! G = control ghost item ! S = suspense ghost item (resolved suspense) ! A = adjustment ghost item ! P = physical adjustment item (for example, a piggyback item) ! M = moved item Note: A ghost item is a non-physical item (an electronic record). Adjustment/Corrections Report The Adjustment/Corrections report summarizes all adjustments and corrections (for example, suspense items) made during Balancing. For each entry in the cycle, this report shows the following information: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! BATCH No.: the batch number of the item for which the adjustment or correction was made ! DRN: the Document Reference Number ! ADJ: a code indicating the reason for the adjustment (adjustment reason codes are customdefined through the Balancing parameters at each site). A blank value indicates a resolved suspense item. ! ADJ_TYPE: type of adjustment ! CR = credit ! (no value) = debit ! FIELD 10, FIELD 9, SERIAL, FRDABA, ACCOUNT No., TRAN: values for any or all of these fields, if captured ! AMOUNT: the value of the amount field Note: The field names shown here are the default names found in RPT_FIELD_DEFNS (rptdefn.dat). The report utility truncates the field name to fit the column width in the report. Suspense Items In EPU Kill Pockets Report The Suspense Items In EPU Kill Pockets report shows Suspense Pool items in the entry that were sorted to the EPU kill pocket. The following information is shown in this report: 244 ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports ! Entry: the number of the entry the work belongs to ! TRAY No.: the EPU kill tray number ! POCKET: the number of the pocket in which the kill document was placed ! DRN: the document reference number ! CLASSIFICATION: the item classification ! AMOUNT: the item amount ! CODELINE: the item codeline Note: This report has also been customized for BTM processing. The report will show the BTM batch number for each item listed under the following field heading: ! BTM BATCH NO.: the BTM batch that the item belongs to Suspense Items in EPU Reject Pocket Report The Suspense Items in EPU Reject Pocket report lists all suspense items in the entry that were sent to the EPU reject pocket. In this report, the items are listed by document reference number. The following information is shown in this report: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! TRAY NO.: the EPU Reject Pocket tray number ! TRAY SEQ: the location of the item in the tray (e.g., 4.00 means the item is the fourth in the tray) ! DRN: the document reference number ! SERIAL, BANK, ACCOUNT, TRNCODE, AMOUNT: the values captured for these fields Note: This report has also been customized for BTM processing. The report will show the BTM batch number for each item listed under the following field heading: ! BTM BATCH NO.: the BTM batch that the item belongs to Items Reassigned from EPU Kill Pockets Report The Items Reassigned from EPU Kill Pockets report lists all items in an entry that were sent to the EPU kill pocket and that have had their distribution changed due to one of the reasons listed below. In this report, the items are listed by tray number and document record number. The following information is shown in this report: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! TRAY NO.: the account number field of the first tracer in the 3890 kill pocket. If there is no tracer, then it is an ImageMark-assigned tray number. ! ORIG PKT: the pocket the item was originally assigned to ImageMark Transaction Manager 4.2 System Administration 245 Chapter 5: Reports Auto-Activity Reports ! NEW PKT: the pocket the item is reassigned to, based on the new distribution ! 3890 PKT: the 3890 equivalent of the of the ImageMark reassigned pocket ! REASON: a code indicating the reason for the item reclassification ! U = unknown/other ! F = field manipulation directive ! R = research reclassify ! D = data entry post-EPU ! DRN: the document reference number ! CLASSIFICATION: the item classification ! AMOUNT: the value of the amount field ! CODELINE: a dot-separated pseudo codeline, generated by EPA Items Pull Reports ImageMark Transaction Manager provides the ability to print an Items Pull report as an Entry Item report. For more details about Items Pull reports, see “Items Pull Report” on page 212 and “Customizing Items Pull Reports” in ImageMark Transaction Manager Parameter Generation: Application Generator. SMM Results Report This report is a CSV flat file. It is currently used only in the BTM environment. The smmresults script, which generates the SMM Results report, is launched automatically by EIR. If you need to generate this report manually, refer to “Printing Entry Item Reports” on page 178. EIR Deposit Corrections Report The EIR Deposit Corrections Report is a delimited data output file (not a formatted, printable report). At end of cycle, this file can be uploaded to your host system or imported into a third party tool to aid with analysis and/or research of customer deposit corrections that resulted in Advice Notices being generated. The output file contains the following parts: ! one header record ! one detail record for each adjustment item that has been parameterized to be exported as part of the output file ! one trailer record EIR Deposit Review Host Report This report is a CSV flat file. It is used by the host system to process holds applied against ATM deposits. The last line of the report contains trailer information that the host system uses to verify the content of the file (for example, to verify that the amounts of the holds have not been corrupted). 246 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports Misencode Detail Report Operators use this report to find misencoded items and pull them from the work. Complete transactions are listed in this report, including all credits and debits, whether misencoded or not. If the credit is not misencoded, then the Actual Amnt. for that item is left blank. This report is: ! organized by entry ! grouped by the sending bank (with each bank on a separate page) ! used to provide feedback for work coming in with too many misencodes This report gives the following information for each misencoded item: ! CR/DB/NP: item type (credit, debit, or non-proof). “DEP CR” is the credit item where a misencode occurred (not a misencode). ! DRN: Document Reference Number of the misencoded item ! Field2 to Field5: column titles and content are controlled by the RPT_FIELD_DEFNS keyword ! Encoded Amnt.: the misencoded amount for the item ! Actual Amnt.: the actual amount of the item, as keyed by the operator ! Pocket: pocket in which to find the item ! Tray: tray in which to find the item ! ON-US: YES indicates an on-us item; No indicates a transit item ! Cnt: consecutive number for debit items within a transaction (reset to 1 for each new transaction) ImageMark Transaction Manager 4.2 System Administration 247 Chapter 5: Reports Auto-Activity Reports Low-Speed Items in High-Speed Pockets Report This new Entry Item report is generated for any pre-encoded or inclearings entries. The report lists non-reject items whose fields were changed at Balancing. Use the report to find these items which should have been pulled at Balancing and put into a central area. Once you find these items, you can adjust the bundle list and cash letter for trays containing these items. Prepare Balancing credits to go with them, and put them at the back of the prepared ESU pocket (prepared using the Bundle List report or the Pocket Listing report). If you cannot find an item listed on this report, it may not have been pulled at Balancing. Try to find it in its original tray (if the tray is still available). If the item has already left the building, you should subtract it from your General Ledger item total. For each data transmission, the report lists the following information: 248 ! Date: the cycle process date ! Cycle: the cycle number the data belongs in ! Host Entry: the 3890 entry number (same as Entry for 3890 entries) ! Entry: the ImageMark entry number (same as Host Entry for 3890 entries) ! Orig Pkt: the original 3890 capture pocket ! Tray No.: either the first tracer in that pocket, or an internal ImageMark tray number (if no tracers go to that pocket) ! Low-Speed Pkt: the item’s “low-speed” pocket, assigned when a field is keyed ! Type: type of item: CR (credit), DR (debit), or NP (non-proof) ! DRN: the document reference number of the item ! Serial: the item’s serial number ! Bank: the item’s bank number ! Account: the item’s account number ! Trncode: the item’s trancode ! Amount: the item’s amount ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports Tray Set Reports The Tray Set report auto-activity generates reports on tray and tray set units-of-work. The Tray Set reports, which are printed automatically as processing of each tray set is completed, are: ! Capture Reconciliation Audit report ! Capture Reconciliation Audit Pocket Summary report ! ESU Pocket Total report ! ESU Operator Matched Item Audit report Note: You can enable or disable these reports in TSR_RPT_GEN (tsrgen.dat). Capture Reconciliation Audit Report The Capture Reconciliation Audit report shows how the Capture Reconciliation operators dealt with each of the items in each ESU exception pocket tray. To do so, this report groups these items into the following categories: ! ! Reconciled/Dispatched ! all reconciled on-us items ! all reconciled transit items Reload ! all pushed on-us items ! all pushed transit items ! Research: all research items ! Exception ! ! unresolved suspense items ! truly missing items ! truly free items Sort Pattern Errors ! ! sort pattern error items (time-of-day sort) Non-Negotiable Items ! items identified as non-negotiable The following information is shown in this report: ! Cycle: the cycle the work belongs to ! Entry: the entry number, followed by the pocket pass history ! MATCH: the item’s match status: ! ESUMAT = document record and physical item matched by ESU; see EXCEPTION for outsort reason ! MISSNG or TRUMIS = missing document record reconciled to physical item (free record following) or truly missing document record with no physical item ! FREE or TRUFRE = physical free item reconciled to preceding Cap Rec audit entry or truly free physical item with no matching document record ImageMark Transaction Manager 4.2 System Administration 249 Chapter 5: Reports Auto-Activity Reports ! ! ESUPIG = missing document record reconciled to an ESU piggyback (free record following) ! DUPLIC = missing document record reconciled to a duplicate codeline (free record following) ! NONNEG = non-negotiable item recognized by Cap. Rec. EXCEPTION: the reason that the item was outsorted to the ESU exception tray: ! ORIENT = outsorted because of orientation problem ! OEP = outsorted because of over-encode protection problem ! SUSPENSE = resolved suspense item ! UNRSLV = unresolved suspense item ! SPER = sort pattern error ! NN = outsorted because the item is non-negotiable Note: Iitems that were outsorted due to more than one problem are identified by the codes for each problem, separated by an & symbol. For example, OR&SUSP: a resolved suspense item that was also an orientation problem NN&OEP: item was outsorted because of over-encode protection problem, and later identified as a non-negotiable item ! DRN: the document reference number ! ON-US: whether the item is on-us ! YES = on-us item ! NO = transit item ! a blank indicates a truly free or reconciled free item ! AMOUNT: the item amount ! CR/DB/NP: a code indicating whether the item was a credit (CR), a debit (DB), or a non-proof (NP) item ! FROM ENTRY: the number of the entry in which this item belongs ! RECONCILED TRAY: the number of the tray in which the physical item was placed (if reconciled) ! the item’s codeline The TOTALS line of this report shows the total number of credit, debit and non-proof items that were processed at Capture Reconciliation, and the total of these three categories. The following example shows the section of this report that covers reconciled/dispatched transit items. 250 ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports Capture Reconciliation Audit Pocket Summary Report The Capture Reconciliation Audit report shows all of the items of a specified ESU exception pocket tray that were modified by the Capture Reconciliation operators. The following information is shown in this report: ! Cycle: the cycle the work belongs to ! Entry: the entry number, followed by the pocket pass history ! DRN: the document reference number ! ON-US: whether the item is on-us ! YES = on-us item ! NO = transit item ! a blank indicates a truly free or reconciled free item ! SERIAL, BANK, ACCOUNT, TRNCOD: values for any or all of these fields, if captured ! AMOUNT: the item amount ! PKT: the exception pocket tray number ! CR/DB/NP: a code indicating whether the item was a credit (CR), a debit (DB), or a non-proof (NP) item The TRAY TOTALS line of this report shows the total number of credit, debit and non-proof items that were processed at Capture Reconciliation, and the total amount that was reconciled. ESU Pocket Total Report The ESU Pocket Total report provides pocket information about each tray in the tray set. Note: This report references only the first entry in a stacked ESU run. This report provides the following information: ! Entry Number: the original entry number for the unit of work ! Host Entry Number: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Input Tray Amount: the expected total amount for the input tray items Note: This amount may be from multiple entries. ! TRAY HEADER NUMBER (CPCS) or POCKET SEPARATOR NUMBER (SuperMICR): the number of the tray header item for CPCS or the number of the pocket separator item for SuperMICR ! ESU POCKET NUMBER and 3890 POCKET NUMBER: the pocket into which the ESU sorted the items and the corresponding 3890 pocket ! TOTAL AMOUNT: the total dollar amount of all items in the tray Note: This amount may be from multiple entries. ImageMark Transaction Manager 4.2 System Administration 251 Chapter 5: Reports Auto-Activity Reports ! TOTAL NUMBER ITEMS: the number of items in the tray Note: This amount may be from multiple entries. If the Input Tray Amount and the sum of the Total Amount column are not equal it means you have unresolved suspense items or truly missing items. ESU Operator Matched Item Audit Report The ESU Operator Matched Item Audit report provides information about every item matched by Operator Assisted Item Matching at the ESU. The following information is shown in this report: ! Cycle: the number of the cycle the entry belongs to ! Entry: the entry number, followed by the pocket pass history ! MATCH: the item’s match status: ! 252 ! FREE = physical free item that the ESU operator matched to preceding audit entry ! DUPLIC = missing document record reconciled to a duplicate codeline (free record following) ! MISSNG = missing document record reconciled to physical item (free record following) EXCEPTION: the reason that the item was outsorted to the ESU exception tray: ! ADJ = adjustment item ! ORIENT = outsorted because of orientation problem ! OEP = outsorted because of over-encode protection ! OR&OEP = outsorted because of both orientation and over-encode protection ! SUSPENSE = resolved suspense item ! UNRSLV = unresolved suspense item ! OR&SUSP = resolved suspense item that was also an orientation problem ! OEP&SUSP = resolved suspense item that was also an over-encode protection problem ! OR&OEP&SU = resolved suspense item that was also both an orientation problem and over-encode protection problem ! DRN: the document reference number ! ON-US: whether the item is on-us ! YES = on-us item ! NO = transit item ! a blank indicates a truly free or reconciled free item ! AMOUNT: the item amount ! CR/DB/NP: a code indicating whether the item is a credit (CR), a debit (DB), or a non-proof (NP) item ! FROM ENTRY: the number of the entry in which this item belongs ! RECONCILED TRAY: the tray in which the reconciled item belongs ! the item’s codeline ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports Auto-Activity Reports ATM Reports There is one auto-activity report that has been customized for ATM processing: ! Putaway Transaction report Putaway Transaction Report Once an entry is balanced, a Putaway Transaction report is printed for that entry. Operators use this report to research and locate the physical documents for complete transactions (putaways) that have been moved to the Suspense Pool. This report is similar to the Unresolved Suspense Items report, with two additional features: ! it is printed as soon as an entry is balanced, rather than at the end of the day, so that research can begin promptly ! it includes indents and blank lines to clearly separate each complete transaction The following information is shown in this report: ! Cycle: the number of the cycle the entry belongs to ! Host Entry: the number of the host entry (CPCS) or host job (SuperMICR) the work belongs to ! Entry: the number of the entry the work belongs to ! DRN: the Document Reference Number ! SERIAL, BANK, ACCOUNT, TRAN: values for any or all of these fields, if captured ! AMOUNT: the value of the amount field ! CR/DB/NP: item classification ! CR = credit ! NP = non-proof ! DB = debit ! TRAY No.: the number of the tray the item belongs to ! PKT: the number of the pocket the item was sent to The TOTALS line of this report shows the total number of credit, debit, and non-proof items processed for this entry, as well as the sum of these three numbers. ImageMark Transaction Manager 4.2 System Administration 253 Chapter 5: Reports MIE Exception Report MIE Exception Report The purpose of this report is to provide a record of changed items (in the batch that MIE uploads to the SuperMICR host) that exceed the maximum number specified by the MaxChangesPerBatch parameter (XML_GATEWAY_PARMS keyword). The default maximum value is 20. When MaxChangesPerBatch is set to 1 or higher, and the number of changes in the batch exceeds this number, the system splits the batch. Changes that occur after the split are recorded in this report. Notes: ! For details on the XML_GATEWAY_PARMS parameters, see chapter 1 of ImageMark Transaction Manager 4.2 Parameter Generation, ASCII Files (B004-0000-0610). ! For information on FIELD_DEFNS parameters see chapter x of ImageMark Transaction Manager 4.2 Parameter Generation, Application Generator (B004-0000-0611). This report is an ASCII file, saved in Windows format. Printing the Report To locate and print the Modified Item Export report: 1 Go to the Landing Zone for requests, specified by the ReqPath parameter (XML_GATEWAY_PARMS keyword). 2 In any text editor, open the report file, named xxxx100000000hhmmssd0bbb.ble, where xxxx = the entry_number; hhmmssd = the EPU start time in hours, minutes, seconds and day of the week; bbb = the banksite system id 3 Print from the text editor. Report Contents The report contains the following information about each item (after the split) that was changed: Notes: ! ! 254 The following field mappings are default only. You can use the FIELD_DEFNS parameters to map any column to a different 3890 field. The FIELD_DEFNS parameters can be changed using Application Generator. For a summary of what does and does not count as a change, see the description of the MaxChangesPerBatch parameter (XML_GATEWAY_PARMS keyword). ! DocType: the document type. Can be Block, Batch, C (credit), D (debit), or NP (non-proof). ! RecID: the record ID, in hex format (for example, 0x91) ! CorCD: the correction code, in hex format, plus the correction code mnemonic. The mnemonic indicates an action to be applied to the non-negotiable item, identified by the host sequence number (in the POD column) and the TM sequence number (in the DRN column). The mnemonics are explained in a legend at the end of the report. ! DRN: the TM sequence number of the item ! POD: the host document sequence number of the item (in full format) ImageMark Transaction Manager 4.2 System Administration Chapter 5: Reports MIE Exception Report ! Amount: the amount of the item ! PC: process control ! ACCT: the account number of the item ! FLD4: ImageMark field 4. ! TR: the transit routing number of the item ! FLD6: ImageMark field 6. ! SER: the serial number of the item ! Pkt: 3890 pocket module. This is generated using the following formula: 3890PktModule= 4 * (3890PktEquiv / 6) + 3890PktEquiv + 11 Translation from 7780 pkt to 3890 pkt is done using the FIELD_DEFN parameters. ! HiLo: H indicates a high-speed flag. L indicates a low-speed flag. ! CapBnk: the capture bank of the non-negotiable item ! Commgl: the commingle bank of the non-negotiable item ImageMark Transaction Manager 4.2 System Administration 255 Chapter 5: Reports MIE Exception Report 256 ImageMark Transaction Manager 4.2 System Administration 6 System Maintenance This chapter describes non-routine procedures that you may need to perform from time to time. ImageMark Transaction Manager 4.2 System Administration 257 Chapter 6: System Maintenance Managing ImageMark Transaction Manager Hardware Managing ImageMark Transaction Manager Hardware Under certain circumstances, you may be required to turn the hardware on or off. Powering Off the Hardware At most ImageMark Transaction Manager sites, you never turn off all the hardware in the system. (Typically, only the IDTs and TSSs get turned off at night.) However, if you ever have to power down the whole system, turn off the hardware in the following order to prevent possible data loss and hardware damage: 1 IDT 2 TSS 3 EPU and ESU 4 Recognition Unit (RU) 5 DS 6 DAP 7 BAP Caution: Turning off the hardware has complex implications for the system. Never attempt it unless you are sure you have to. The servers and workstations follow the same procedure for powering down. To power down the hardware: 1 Exit all activities and utilities. 2 In Task Manager, choose Security > Sign Off. The system signs off ImageMark Transaction Manager. 258 3 Shut down Windows. 4 Turn off the computer, monitor, and any other associated hardware (e.g., tape scanner, transport). ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Managing ImageMark Transaction Manager Hardware Powering On the Hardware Power on the hardware in the following order to ensure the system will work properly: 1 BAP 2 DAP 3 DS 4 Recognition Unit (RU) 5 EPU and ESU 6 IDT 7 TSS The servers and workstations follow the same procedure for powering on. To power on the hardware: 1 Turn on the monitor. 2 Turn on the computer and any other associated hardware (e.g., tape scanner, transport). The system starts up Windows. 3 Log into Windows and ImageMark Transaction Manager. Note: If you have registered with ImageMark Transaction Manager and log into Windows as user base or user imadmin, the system will automatically log you into ImageMark Transaction Manager. The system will then display the ImageMark Transaction Manager Task Manager. If you are not registered with ImageMark Transaction Manager, the system will display the ImageMark Transaction Manager Sign-On dialog. ImageMark Transaction Manager 4.2 System Administration 259 Chapter 6: System Maintenance Managing the System Environment Managing the System Environment Perl Script Interpreter Under Windows, ImageMark Transaction Manager has adopted the convention of invoking Perl scripts by filename in order to mimic the behavior of Perl scripts in the Unix environment. If the Windows Perl script interpreter is not set up on your system, contact Professional Services to set up the interpreter. Active Directory Windows Active Directory is a directory service that manages all the objects (e.g., users, computers, etc.) in the ImageMark Transaction Manager Windows network environment. It provides data storage for these objects in the network as well as support for locating and working with them. It has a logical directory structure (or hierarchy), and is extensible, so objects and attributes can be added by the user. Active Directory allows users to log on to different systems using a single account and password to gain access to them. For selecting directory objects, Active Directory uses a tool called an Object Directory Picker. See “Creating a User Account” on page 148 for instructions on how to use the Directory Object Picker. For more information on Active Directory, go to http://msdn.microsoft.com/library/default.asp?url=/library/en-us/netdir/ad/active_directory.asp Active Directory Users and Computers 260 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Managing the System Environment The following lists the basic components of Active Directory: ! Object: anything in the windows network environment that you want to manage in the Active Directory. Printers, users, computers, and groups are all examples of objects. ! Domain: a group of objects that have the same security or user account policy ! Tree: a hierarchical arrangement of domains in the same namespace ! Forest: a group of domains that have intrinsic common trust relationship between them (i.e., they share the same schema and global catalogue, but have distinct namespaces) ! Organizational Unit: a container that stores a collection of objects in a domain that share common system administration policies ! Site: a topographical location in your network characterized by local, high-speed access links (each site must replicate Active Directory data from other sites, therefore what constitutes a “site” in you network is critical) For information on security using Active Directory, see “Domain Security Requirements” on page 269. Organizational Units An Organizational Unit (OU) is a grouping of objects within a domain. An OU acts as a container storing the objects in the domain. Printers, file shares, users, groups, and applications are all objects that can be contained in an OU. OUs can be nested, and the OU structure can be the same for all domains, but they cannot cross domains). For more information on supporting Organizational Units in ImageMark Transaction Manager, see “Supporting Different Active Directory Organizational Units” on page 269. ImageMark Transaction Manager 4.2 System Administration 261 Chapter 6: System Maintenance ImageMark Transaction Manager Access Security ImageMark Transaction Manager Access Security ImageMark Transaction Manager Access Security is tightly integrated with Windows Active Directory. Windows uses Active Directory to add accounts and users to the system, and to manage them once they are on the system. Managing ImageMark Transaction Manager Accounts An important component of maintaining your ImageMark Transaction Manager system is the number of, nature of, and location of the various Windows accounts it uses. Using the Windows Active Directory service, you can administer these accounts. The Access Security Server and the uninstallation process do not remove unused ImageMarkgenerated Windows accounts, therefore you must manually remove accounts no longer needed on the system. Use the Active Directory Users and Computers control panel to clean up these unneeded accounts. ! Important: Ensure that accounts you wish to remove are not being used by a remote IDT registered with another BAP before you remove the account from the system. The following tables describe the various ImageMark Transaction Manager accounts that are created during system installation: imadmin Account Description Special Privileges Account Location Password Information IM system administrator account. Member of “IM Domain Admins” and has control over the NCR IM Transaction Manager OU. “NCR IM Transaction Manager” OU in the BAP domain. Password initially set by master installer. This account is to be used by the IM software installer, and by IM system administrator. This account must be used to run the IM database reinitialization scripts, and any other system administrative or special scripts. 262 Member of “Informix Admins”. Customer will likely want to apply the password policy to this account. See Note 1. Local Administrator on every IM system. Has full access to all IM database tables. Permission to run IM Transaction Manager user interfaces. ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance ImageMark Transaction Manager Access Security ncr_gsc Account Description Special Privileges Account Location Password Information NCR support account. Member of “Informix Admins”. “NCR IM Transaction Manager” OU in the BAP domain. Password initially set by master installer. Local administrator on every IM system. Customer will likely want to apply the password policy to this account. See Note 1. base Account Description Special Privileges Account Location Password Information IM ‘base’ user. Granted permission within IM to run the user interfaces. “NCR IM Transaction Manager” OU in the BAP domain. Password initially set by master installer. This user account is used to ‘bootstrap’ the configuration of a new installation. The base user can log in to IM and can run the base GUI applications in order to achieve this. Needs to be given login locally privileges on the BAP in order to run the IM operator interfaces. Customer will likely want to apply the password policy to this account. See Note 1. classa Account Description Special Privileges Account Location Password Information IM ‘classa’ user. Granted file access permissions on the BAP to write to the PARAMETERS share. “NCR IM Transaction Manager” OU in the BAP domain. Password initially set by master installer. The ‘classa’ user is typically the IM parameter analyst, and has privileges to run AppGen and to engage and translate IM parameters in the production parameter area. ImageMark Transaction Manager 4.2 System Administration Customer will likely want to apply the password policy to this account. 263 Chapter 6: System Maintenance ImageMark Transaction Manager Access Security as.BAPname Account Description Special Privileges Account Location Password Information IM ‘base’ user. Granted file access permissions (full control) to the IM directory tree on the BAP. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. This user account is used to ‘bootstrap’ the configuration of a new installation. The base user can log in to IM and can run the base GUI applications in order to achieve this. See Note 2. Member of the “<bapname> Site Admins” group, so can create/modify account objects in the “<bapname> Site” OU. monitor.hostname Account Description Special Privileges Account Location Password Information IM monitor service runs under this account. There is one such account for every IM BAP/DS/DAP and IDT in the system. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on all IM machines. “<bapname> Site” OU in the BAP domain. On the BAP, set by the master installer. On all other boxes, a random 12character password is set by installation of the monitor package by the access security server. See Note 2. siips_db.DAPname Account 264 Description Special Privileges Account Location Password Information Account used by ImageMark components to access the database. This account has its password changed by the ImageMark access security service each time the AS service starts. This account and the password are passed to ImageMark applications in an authenticated, encrypted exchange between the AS service, and the application. Granted access to all ImageMark database tables. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance ImageMark Transaction Manager Access Security wm.BAPname Account Description Special Privileges Account Location Password Information IM Workflow Management service runs under this account on the BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. cm.BAPname Account Description Special Privileges Account Location Password Information IM Configuration Management service runs under this account on the BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. am.BAPname Account Description Special Privileges Account Location Password Information IM Application Management service runs under this account on the BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. ImageMark Transaction Manager 4.2 System Administration See Notes 2 and 3. 265 Chapter 6: System Maintenance ImageMark Transaction Manager Access Security IMNode.hostname Account Description Special Privileges Account Location Password Information IM Node Management service runs under this account (BAP/DAP/DS). Member of local Administrators group. The system needs this account in order to modify registry and update file (hosts.equiv) located in system area, as well as to add domain accounts to the local IM Users and IM Services groups. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. This service is responsible for updating the local Informix ‘sqlhosts’ registry settings, and the %windir%\system32\driv ers\etc\hosts.equiv file needed for Informix connectivity. See Notes 2 and 3. It is also responsible for keeping the local IM Users and IM Services groups in sync with the access security registered IM users and services. sortsim.hostname Account Description Special Privileges Account Location Password Information IM sort simulator service runs under this account (BAP/DAP/DS, possibly IDT instances) As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. dbbe.hostname Account 266 Description Special Privileges Account Location Password Information IM database backend service runs under this account (BAP/DAP/DS) As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance ImageMark Transaction Manager Access Security xlink.BAPname Account Description Special Privileges Account Location Password Information IM ‘Expert Link’ service runs under this account on a BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. This account executes SNA conversations with a mainframe. cycle.BAPname Account Description Special Privileges Account Location Password Information IM ‘Cycle Service’ runs under this account on a BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. syslog.BAPname Account Description Special Privileges Account Location Password Information IM error logging service runs under this account on the BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. ImageMark Transaction Manager 4.2 System Administration See Notes 2 and 3. 267 Chapter 6: System Maintenance ImageMark Transaction Manager Access Security pm.hostname Account Description Special Privileges Account Location Password Information IM print manager runs under this account on BAP, DAP, DS. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the server on which it runs. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. advice.BAPname Account Description Special Privileges Account Location Password Information IM Advice Notice Host Interface service runs under this account on BAP. As a member of local ‘IM Services’ group, is granted file access permissions (full control) to the IM directory tree on the BAP. “<bapname> Site” OU in the BAP domain. Random 12-character password, set by installation. See Notes 2 and 3. This account executes virtual 3270 terminal sessions with a mainframe. Notes: 1 The rsetup command must be run every time a password changes. 2 This account should never expire or require password changes. If it expires, then the system will be broken (until it is re-activated). 3 The password length can be controlled by parameterizing the Access Security service. Password Registry Settings The access security service parameter ‘PasswordLength’ controls the length of the random passwords that the access security server creates for the ImageMark service accounts. The access security server installation sets the access security service parameter ‘PasswordLength’ registry key to a maximum of 12 characters. 268 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance ImageMark Transaction Manager Access Security Supporting Different Active Directory Organizational Units The default “NCR ImageMark Transaction Manager” OU can be moved and renamed in the Active Directory. If this is done, then the %IMAGEMARK_DOMAIN_ACCOUNT_CONTAINER% system environment variable must be updated on the BAP. This particular variable must be within the same domain as the BAP. Note: If a subsequent new BAP is installed to the same domain, then the environment variable would need to be set before running the master install on the new BAP, in order for the new BAP to use the same OU. Similarly, if you want to move or rename the default “<BAPHostName>” OU in the Active Directory, the %IMAGEMARK_SITE_ACCOUNT_CONTAINER% system environment variable must be updated on the BAP. Note: As with the previous OU, the environment variable would need to be set before running the master install on the new BAP if a subsequent new BAP is installed to the same domain. Domain Security Requirements Domain security for ImageMark Transaction Manager under Windows is managed by Windows Active Directory. ImageMark Transaction Manager supports database and workstation relations depending on the how each database is set up in its Windows domains. Databases in Same Windows Domain Access Security supports an ImageMark Transaction Manager installation in which all participating ImageMark Transaction Manager databases (BAP/DAP/DS) are members of the same pre-existing Windows domain. Databases Across Different Windows Domains Access Security does not support an ImageMark Transaction Manager database server installation across different Windows domains. This means that the BAP, DAP, and DS servers must all belong to the same Windows domain. This configuration cannot be supported because a domain account is created by Access Security that is used by all ImageMark roles to access the database on all servers. Multiple BAPs Within Same Windows Domain Access Security supports an ImageMark Transaction Manager installation into a Windows domain that is already hosting another ImageMark installation (e.g., two or more ImageMark BAPs coexisting in the same Windows domain). In order for the Access Security authentication to work, a trust relationship needs to be established between the domains in question. For example, access security running on the BAP ‘B’ needs to be able to authenticate the ‘monitor.idtA’ account which exists in domain ‘A’. In this case, a relationship must be established between domain ‘A’ and domain ‘B’. Note: Two-way trusts are automatically created by Windows with domains that exist within the same Active Directory forest. ImageMark Transaction Manager 4.2 System Administration 269 Chapter 6: System Maintenance ImageMark Transaction Manager Access Security Remote IDT Workstations Access Security allows you to access remote IDT workstations that are members of a different Windows domain than the BAP you are working with. For example, if IDT workstations in BAP ‘A’, reside in domain ‘A’, the workstations can remotely access work hosted by BAP ‘B’ in domain ‘B’. Windows Accounts and Windows Domains Access Security shall support an ImageMark Transaction Manager installation in which the ImageMark Transaction Manager user accounts exist in Windows domain(s) different than that of the BAP you are working with. However, in order for Access Security to authenticate the accounts, a trust relationship needs to exist between the domains. See “Multiple BAPs Within Same Windows Domain” on page 269. Another component of access security is securing the BAP directories so users from other domains can be permitted to access the BAP. This is accomplished by using groups to secure the ImageMark Transaction Manager servers. For information on how to do this, contact NCR Professional Services. Integrating the Distributed Capture Consolidation Server The Distributed Capture Consolidation server is a non-ImageMark server that feeds files to the EPA autorole running on a DS. The consolidation server is not part of the ImageMark Transaction Manager system and does not use ImageMark Transaction Manager accounts to run services. To integrate the consolidation server with ImageMark Transaction Manager, you must grant the consolidation server service privileges to access the %IMAGEMARK_ROOT%\capture directory. To integrate the Distributed Capture consolidation server with ImageMark Transaction Manager: 1 Place the consolidation server in the same domain as the ImageMark Transaction Manager system. 2 Run the consolidation service (which runs on the consolidation server and is ultimately the service that copies files to ImageMark Transaction Manager) under a known domain account. Note: Depending on what tasks you wish the consolidation service to perform on the system, it may be necessary to make the domain account a local administrator on the consolidation server. 3 Add the domain account to the ImageMark Services group on each DS that it will write to. If the consolidation server cannot be put in the same domain (or a trusted domain), then use the following technique with your accounts: 1 Create a local account on the consolidation server and on each DS with the same username and password. 2 Run the service under this account. 3 Add the account to the ImageMark Services group on each DS. The consolidation server mounts the ‘EPU’ share on each DS that it writes to. 270 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Managing the Recognition Sub-System Managing the Recognition Sub-System Restarting the Recognition Sub-System If you notice work backed up at the RSS auto-activity, you can restart the Recognition Sub-System. To restart the Recognition Sub-System, complete the following steps: 1 Open Application Manager. 2 Choose Application > Display.... The system displays the Display Application dialog. Display Application Dialog 3 Select the application instance that you want to display, then choose OK. The system displays the Application Display window. 4 Shut down the RSS auto-activity. See “Shutting Down Activities” on page 72. 5 Restart the RSS auto-activity. See “Loading Activities” on page 72. If this fails to clear the bottleneck, proceed as follows to restart the RSS: 1 Shut down the RSS auto-activity. 2 Use the Windows Services administrative tool to stop the RSS. The system displays in the unit’s status that it has stopped. 3 In Windows Services, start the RSS. The unit’s status displays that it has started. 4 In Application Manager, restart the RSS auto-activity. ImageMark Transaction Manager 4.2 System Administration 271 Chapter 6: System Maintenance Managing the Recognition Sub-System Testing the Recognition Unit To test the software used by the RSS auto-activity, you can run the Recognition Unit self test utility (testru). The utility validates that the recognition software is installed and functional and that the necessary communication channels and processes are working. While you do not need to run testru regularly, you can use it to identify the source of a problem. It will help you localize the cause of the problem to either the client application (RSS), the server (RU), or the network. To test the Recognition Unit: 1 Log on to the DS as user imadmin. 2 Access the command prompt. 3 Change to the C:\usr\recognition\test directory. 4 Type testru. The test program returns results for the installed software and Recognition components, indicating that fields are read successfully. If the fields are not read, an error message will be displayed. 272 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Viewing and Modifying System Capacity Viewing and Modifying System Capacity The number of documents that your site can process per day is determined by the capacity settings that have been made for your DSs and DAPs. Viewing Capacity Settings To view the current capacity settings for your system, proceed as follows: 1 Access the command prompt. 2 Change to the %IMAGEMARK_ROOT%\opt\siips\classa directory. 3 View the file dsclassa_prod.sql. Find the line “maximum volume per DS according to user”. The value following that line is the current capacity setting for every DS in your system. 4 View the file baclassa_prod.sql. Find the line “maximum volume per Base AP”. The value following that line is the current capacity setting for your entire system. Modifying Capacity Settings The gen_prod_sql script on the BAP lets you modify the capacity settings for your system. Considerations for Changing System Capacity Before using this script, consider the following points: ! Under some conditions, increasing system capacity may slow system performance. ! For best performance, each DAP should service no more than 3 DSs. When you run this script, the value that you enter for maximum volume per DAP should therefore equal 3 times the value that you enter for maximum volume per DS. ! For the standard ImageMark Transaction Manager hardware configuration the maximum values that you enter should not exceed: ! 230,000 documents per DS ! 690,000 documents per DAP If you want to modify your system capacity but have a different hardware configuration, call your NCR service provider for assistance. ImageMark Transaction Manager 4.2 System Administration 273 Chapter 6: System Maintenance Viewing and Modifying System Capacity Changing System Capacity To modify the capacity settings for your system: 1 Access the command prompt. 2 Change to the %IMAGEMARK_ROOT%\opt\siips\classa directory. 3 Run gen_prod_sql. 4 For each server type (i.e., DSs, then DAPs, then BAPs), the system prompts whether you want to update the minimum values for any of the varchar columns in any of the tables in the database. If you indicate that you do want to change varchar minimum values, the system will display each table that includes a varchar column and the current minimum value and ask if you want to change it. If you indicate that you do want to change the varchar minimum value for a table, the system prompts you to enter the new value. 5 For DSs, then DAPs, the system prompts you to enter the maximum volume per server in thousands of items and displays the current setting. Enter the appropriate maximum number of documents, in thousands, per server of the specified type (for example, to specify 120,000 documents, enter 120). 6 The system prompts you to enter the number of DAPs at your site and displays the current setting. Enter the number of DAPs at your site. Implementing Capacity Changes To make these changes take effect: 1 Run %SIIPS_BASE_MNT%\initialize\reinitall.bank.pl where bank is the name of your institution. 274 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Running the Set Stale Date Script with Task Scheduler Running the Set Stale Date Script with Task Scheduler Since you must run the set_stale_date script against your production sort patterns monthly, you should automate this task with Windows Task Scheduler. The stale date must be reset prior to starting ImageMark Transaction Manager on the first day of processing of each month. The set_stale_date script sets the current date into the IPCS sort patterns. This sets the current month and year into the sort patterns and ensures that proper date validation is performed against government-issued checks. Since you run the set_stale_date script for each sort pattern, you should create a script to automate running it, and point to that script in the crontab file. ImageMark Transaction Manager 4.2 System Administration 275 Chapter 6: System Maintenance Running the Set Stale Date Script with Task Scheduler Setting Up a Set Stale Date Script for a Regular Environment To set up a cron job for the set_stale_date script, add the necessary entries to the stale.sh script and reference it in the crontab file (i.e. crontab -e) to automatically run the stale date script monthly. To set up the cron job task: 1 Use cp -ip to copy set_stale_date from %IMAGEMARK_ROOT%\opt\siips\classa\ag_cpcs\userexit or to \%IMAGEMARK_ROOT%\bin. 2 In the user exit directory in your development directory, create a script called stale.sh. 3 Add the following entry to stale.sh: \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\agcpcs\apptype.dev\userexit\stlexit where: ! apptype is the Application Type name (the application’s development directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ! stlexit is the name of the file that contains the initialization stale dated government check exit point (for example, ststldat.usr) This line ensures that the user exit’s date reflects the current date. So, you are not required to run the script each time you recompile your project. 4 For each application type and bank directory, ensure stale.sh contains the following entries: \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\apptype\bank\fld0040 \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\apptype\bank\cpat0040 where: 5 ! apptype is the Application Type name (the application’s directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ! bank is the bank directory name Add the following entry to the crontab file: mm hh dm * * %IMAGEMARK_ROOT%\opt\siips\classa\apptype.dev\userexit\stale.sh where: 276 ! mm is the time in minutes (0-59) after the hour when you want to set the date ! hh is the time in hours (0-23) when you want to set the date ! dm is the day of the month (1-31) when you want to set the date ! apptype is the Application Type name (the application’s directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Running the Set Stale Date Script with Task Scheduler Sample Cron JobTask The following sample cron job runs the stale.sh script at 4:00 AM on the first day of each month: 0 4 1 * * %IMAGEMARK_ROOT%\opt\siips\classa\waterloo.dev\userexit\stale.sh By running the script at 4:00 AM on the first day of each month, you ensure that the script is run before ImageMark Transaction Manager starts and before any items are processed for that month. The cron job calls the following sample stale.sh script: \%IMAGEMARK_ROOT%\bin\set_stale_date \%IMAGEMARK_ROOT%\opt\siips\classa\waterloo.dev\userexit\ststldat.usr \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\waterloo\1\fld0040 \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\waterloo\1\cpat0040 ImageMark Transaction Manager 4.2 System Administration 277 Chapter 6: System Maintenance Running the Set Stale Date Script with Task Scheduler Setting Up a Set Stale Date Script for a Time-of-Day Sort Environment To set up a cron job for the set stale date script, add the necessary entries to the stale script (stale.sh) and reference it in the crontab file (i.e. crontab -e) to automatically run the stale date script monthly. To set up the cron job for a time-of-day sort environment, complete the following steps: 1 Use cp -ip to copy set_stale_date from %IMAGEMARK_ROOT%\opt\siips\classa\ag_cpcs or %IMAGEMARK_ROOT%\opt\siips\classa\ag_smcr to \%IMAGEMARK_ROOT%\bin. 2 In the user exit directory in your development directory, create a script file called stale.sh. 3 Add the following entry to stale.sh: \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\apptype.dev\userexit\ stlexit where: ! apptype is the Application Type name (the application’s development directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ! stlexit is the name of the file that contains the initialization stale dated government check exit point (for example, ststldat.usr). This line ensures that the user exit’s date reflects the current date. Therefore, you are not required to run the script each time you recompile your project. 4 For each application type and bank directory, ensure stale.sh contains the following entries: \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\apptype\bank\fld0040 where: 5 ! apptype is the Application Type name (the application’s directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ! bank is the bank directory name For each sort pattern, ensure stale.sh contains the following entries: \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\apptype\bank\sp\fld0040 \%IMAGEMARK_ROOT%\bin\set_stale_date %IMAGEMARK_ROOT%\opt\siips\classa\apptype\bank\sp\cpat0040 where: 278 ! mm is the time in minutes (0-59) after the hour when you want to set the date ! hh is the time in hours (0-23) when you want to set the date ! dm is the day of the month (1-31) when you want to set the date ! apptype is the Application Type name (the application’s directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ! bank is the bank directory name ! sp is the sort pattern directory name ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Running the Set Stale Date Script with Task Scheduler 6 Add the following entry to the crontab file: mm hh dm * * %IMAGEMARK_ROOT%\opt\siips\classa\apptype.dev\userexit\stale.sh where: ! mm is the time in minutes (0-59) after the hour when you want to set the date ! hh is the time in hours (0-23) when you want to set the date ! dm is the day of the month (1-31) when you want to set the date ! apptype is the Application Type name (the application’s directory name in %IMAGEMARK_ROOT%\opt\siips\classa) ImageMark Transaction Manager 4.2 System Administration 279 Chapter 6: System Maintenance Advice Notice Export Utility Advice Notice Export Utility This utility saves each Advice Notice image as a TIFF file and unloads its corresponding data to a flat file for later viewing and printing on an IDT. Research operators use these files to justify adjustments to customers’ ATM deposits. Note: This utility can be run manually so you may print Advice Notices at any time during your work cycle. You can also configure the start of cycle process to run this utility during the start of cycle procedures. There are two files provided to save Advice Notice data as both flat files and TIFF file images: ! the Advice Notice Export utility (adv_unload.pl) ! a sample configuration script if no specific configuration file is specified (adv_unload.ini_sample) Configuring Your System Step 1: Copy Files To configure your system to save Advice Notices as both flat files and TIFF files: 1 Copy adv_unload.pl from %IMAGEMARK_ROOT%\usr\bin\ to %IMAGEMARK_ROOT%\usr\bin\app-type, where app-type is the application directory on your system (e.g. waterloo). 2 Copy adv_unload.ini_sample from %IMAGEMARK_ROOT%\opt\siips\classa\ to %IMAGEMARK_ROOT%\opt\siips\classa\app-type\, where app-type is the application type directory on your system (e.g. waterloo). 3 Rename this new copy of the sample file to adv_unload.ini before proceeding to Step 2 below. Step 2: Edit Default Configuration file You need to edit the sample configuration file provided so that: ! the Advice Notice image files are stored in the right directory ! all required Advice Notice database columns to unload and select criteria are listed ! the correct network name and user profile of server (to FTP Advice Notice files) is included ! the Advice Notice data is retained for as long as your site requires ! a separate image directory for each PSET number that pertains to advice notices is specified To include another field, add the ADV_SELECT Column Name for that field to the ADV_SELECT_COLUMNS section of your new copy of adv_unload.ini. To exclude a field, delete the ADVICE Column Name from this section. The following rules apply: 280 ! ADV_SELECT Column Names are not case sensitive ! ADV_SELECT Column Names must be spelled exactly as given in the Default adv_unload.ini file (see next page). ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Advice Notice Export Utility Default adv_unload.ini File ############################################################################# # # # Copyright (c) 2006 NCR Corporation # # $Source: \cvs\wintm\pod\pod\install\g524-1220\adv_unload.ini,v $ # # PURPOSE: Sample configuration file for the adv_store.pl utility # # $Id: adv_unload.ini,v 1.2.2.1 2005/12/16 20:43:42 ppeles Exp $ # ############################################################################# # [General] # The %IMAGEMARK_ROOT% environment variable may be used to denote the root directory of ImageMark. # Advice Notice file unload directory and file name ADV_UNLOAD_DIRECTORY=%IMAGEMARK_ROOT%\opt\siips\classa\trn_cpcs\advice ADV_UNLOAD_FILE_NAME=advice # Advice Notice database columns to unload and select criteria ADV_SELECT_COLUMNS = advice_ref, proc_date, proc_time, corr_acct_no, dep_acct_no, dep_slip_amt, corr_amt, corr_class, adj_reason_code, advice_notice_name, branch_num, teller_num, oper_number, entry_number, state, advice_comment, item_amt, item_class, first_DRN, adjustment_DRN, lookup_text ADV_WHERE_CLAUSE = # Network name and user profile of server to FTP Advice Notice files # Set ADV_FTP_SERVER = to disable FTP transfer ADV_FTP_SERVER = ADV_FTP_ACCOUNT = ADV_FTP_PASSWORD = # Number of days to retain Advice Notice Data ADV_BACKUP_DAYS = 7 # For each PSET number that pertains to advice notices an accompanying image # directory should be given in order to organize where images are placed. # Edit to suit your needs. [1] DirectoryPath=%IMAGEMARK_ROOT%\opt\siips\classa\trn_cpcs\advices1 [2] DirectoryPath=%IMAGEMARK_ROOT%\opt\siips\classa\trn_cpcs\advices2 ImageMark Transaction Manager 4.2 System Administration 281 Chapter 6: System Maintenance Advice Notice Export Utility Step 3: Run the Advice Notice Export Utility To configure your system to unload Advice Notice data for each application type: 1 Change to the %IMAGEMARK_ROOT%\bin directory. 2 Run adv_unload.pl [-f config file] -c cycle num | -t app type where: -f config file Specifies the full path and filename of a configuration file to use instead of the default configuration file. This file must be of the same format as the default. -c cycle num Specifies a specific cycle number to be unloaded. This value must be followed by a valid Application Type name. -t app type Specifies the Application Type name to use for the chosen Cycle number. The utility: ! unloads the database columns specified by the comma-separated ADV_SELECT_COLUMNS entry in the configuration file, and ! ensures the following columns are always unloaded (even if not specified in the configuration file): ! Advice_key ! Dep_ddr_key ! App_type_pset_num ! Advice_ref ! App_instance_id Notes: ! To unload all cycles, use the following syntax: adv_unload.pl [-f config file] -a ! To display the usage help screen, use the following syntax: adv_unload.pl -h ! If you do not specify a configuration file, the utility uses the default, located here: %IMAGEMARK_ROOT%/classa/app type/adv_unload.ini ! If you do not specify the application type name, the system uses the default, located here: %IMAGEMARK_ROOT%/classa/advice/adv_unload.ini File Location and Naming Advice Unload File Format The advice unload file format is as follows: ADV_UNLOAD_FILE_NAME.yymmdd.hhmmss The file format is a pipe separated list in which each line in the file represents one advice record from the database. It also filters based on an optional user specified SQL formatted where clause that is the value of the ADV_WHERE_CLAUSE keyword in the configuration file. 282 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Advice Notice Export Utility The utility then moves the file to the directory specified by the ADV_UNLOAD_DIRECTORY keyword in the configuration file. TIFF Files The system dumps the tiff files to the directories specified or the defaults defined below: %IMAGEMARK_ROOT%\opt\siips\classa\trn_cpcs\advices1 %IMAGEMARK_ROOT%\opt\siips\classa\trn_cpcs\advices2 The utility names the Advice Notice image files that it creates as follows: ADV.pset.yyyymmdd.advice_ref.advice_key.page_num.tif where: pset Parameter set (Pset) number. yyyymmdd Cycle process date of the adjustment associated with the advice notice. advice_ref Unique reference number for the advice assigned by balancing. This number is a 2 digit machine number followed by a six digit sequence number from the adjustment DRN. advice_key Unique, system assigned number serializing each individual advice record. page_num Advice image page number (1—N). Example: The following Advice Notice image files were created on December 14, 2005. The first three have the same advice reference number, as do the last two: ADV.21.20051214.88.21.1.tif ADV.21.20051214.88.22.2.tif ADV.21.20051214.88.23.3.tif ADV.21.20051214.92.17.1.tif ADV.21.20051214.92.18.2.tif ImageMark Transaction Manager 4.2 System Administration 283 Chapter 6: System Maintenance Adding Printers Adding Printers Windows allows you to configure printers to work with your existing ImageMark Transaction Manager installation. You can configure Windows or Network printers. Follow the Windows procedure for adding printers to configure a printer to your ImageMark Transaction Manager system. Note: You cannot reconfigure SPOOL or FILE. In Configuration Manager, add the printer as an external station, specifying a name and IP address. See “Adding a Station” on page 112. 284 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Resetting the System Date and Time Resetting the System Date and Time To reset the system date and time: 1 Exit all system applications on all stations. 2 Choose Start > Settings > Control Panel > Date/Time. The system displays the Date and Time Properties dialog. Date and Time Properties Dialog 3 Change the date and time as desired, then choose OK. 4 To avoid date and time problems, remove the following files on the BAP, DAPs, and DSs: %IMAGEMARK_ROOT%\etc\inet\siips.hosts %IMAGEMARK_ROOT%\etc\inet\siips.rev 5 Reboot the BAP, DAPs, DSs, EPUs, ESUs, and EPSUs, in that order. See “Managing ImageMark Transaction Manager Hardware” on page 258 for more information on rebooting the system and its components. 6 The system date and time is now changed. ImageMark Transaction Manager 4.2 System Administration 285 Chapter 6: System Maintenance Procedures for Distributed Capture Procedures for Distributed Capture If your system has Distributed Capture, you may need to occasionally perform the following procedures. Caution: While the following procedures can be run at any time, ensure that they are necessary before running them to avoid any unnecessary loss of data. Validating Cycles A daily system administration task is to create the processing day’s cycle, and thereby ready ImageMark Transaction Manager to accept work. Within Distributed Capture, parameters have been included to control the number of valid weekly posting dates, as well as a series of scripts to control a file listing invalid posting dates. The relevant scripts are stored in \%IMAGEMARK_ROOT%\bin and have the following descriptive names: ! imloaddates ! imdeletedates ! imdisplaydates imloaddates This script is used to load invalid dates into the ImageMark Transaction Manager databases (i.e., XXCLASSA): imloaddates [-d database] -f filename | -p postingdate where: -d database specifies the location of the Invalid Cycle table (i.e., XXCLASSA) -f filename specifies a filename that stores a list of invalid posting dates. Cannot be used in conjunction with the -p parameter. -p postingdate specifies a single invalid posting date. Cannot be used in conjunction with the -f parameter. imdeletedates This script removes dates from the invalid posting date listing: imdeletedates [-d database] -f filename | -p postingdate | -t older than where: -d database specifies the location of the Invalid Cycle table (i.e., XXCLASSA) -f filename specifies a filename that stores a list of invalid posting dates to delete. Cannot be used in conjunction with the -p or -t parameters. -p postingdate specifies a single invalid posting date to delete. Cannot be used in conjunction with the -f or -t parameters. -t older than specifies the number of days older than today to delete. Cannot be used in conjunction with the -f or -p parameters. 286 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Procedures for Distributed Capture imdisplaydates This script will display all current invalid posting dates within the ImageMark Transaction Manager system. imdisplaydates [-d database] where: -d database specifies the location of the Invalid Cycle table (i.e., XXCLASSA) Replacing Corrupt EIPS Files on the DS If EPA is unable to import a capture file from an ECU because the file is corrupt, it is possible to retrieve the file from the ECU as long as the ECU has not been freed and initialized for the next processing day. If the ECU has been freed and initialized, you will be unable to copy the file, as part of the initialization process is to delete the image capture files on the ECU. The process to complete this file replacement is outlined below: 1 Map a network drive to the ECU from the CS. Note: Each ECU must be set up to share its primary drive with administrators. 2 Select the folder C:\ib\Innovaconnect\export\branch on the ECU. 3 Create a copy of the required capture file within the current folder. Note: The file name must not conform to the required EPA Import filename syntax. 4 Move the copied capture file from the ECU to the EPA Import directory on the DS.This is done to prevent EPA from attempting to import the file while it is being transferred to the DS. 5 Rename the capture file to eips.priorityYYYYMMDD.HHMMSS.branch.tranport.pset.run.batchseq EPA will then attempt to import the file. ImageMark Transaction Manager 4.2 System Administration 287 Chapter 6: System Maintenance Procedures for Distributed Capture Changing Host Entry # for a Duplicate Host Entry Normally, after an entry is balanced, the BIE auto-activity sends the corresponding balanced I-string to the host application. However, sometimes you must resend the work because your entry has the same number as one already received by the host. If the host recognizes the entry number during the BIE transmission attempt, it refuses the work. Because the work is not successfully sent to the CPCS host application, it is held at BIE. To ensure the entry is uploaded to the CPCS host application, the entry number must be modified to be unique for the host system, and resubmitted through BIE. To ensure the assigned host entry number is unique, we recommend using an entry number from a physical tracer document set selected at the EPU area. Selection and assignment of an entry number from within the defined parameter range for entry numbers cannot guarantee uniqueness as EPA assigns entry numbers from this range to imported capture runs. To ensure that a unique host entry number is assigned with each reassignment process: 1 Open Application Manager. 2 Choose Application > Display.... The system displays the Display Application dialog. Display Application Dialog 3 Select the application instance that you want to display, then choose OK. The system displays the Application Display window. 4 Choose Cycles > Host Entry. The system displays the Host Entry Number dialog, which contains a list of the currently defined cycles. 288 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Procedures for Distributed Capture Host Entry Number Dialog 5 Select the cycle for the entry that is being held at BIE. The system displays a list of the Capture entries for the selected cycle. 6 Select the Capture entry for the CPCS entry that you want to modify, then choose Change. The system displays the New Host Entry Number dialog. New Host Entry Number Dialog 7 Obtain a new set of tracer documents from the EPU area with an unused entry number. 8 Type the new number for the CPCS entry, then choose OK. 9 At the confirmation dialog, choose Yes. 10 Discard the physical tracer documents. ! Important: Do not replace the original tracer documents with the new tracer documents. Ghost tracer documents with the new host entry number will be generated at BIE and SIE. ImageMark Transaction Manager 4.2 System Administration 289 Chapter 6: System Maintenance Procedures for Distributed Capture Cleaning Up Capture Files on the DS Capture files are transferred from the Consolidation Server to ImageMark Transaction Manager’s Data Server. There is no need to retain the physical capture files on the DS once they have been imported into the ImageMark workflow. To remove the imported capture files, Transaction Manager provides a clean-up script called epa_cleanup.pl. This script is installed to \%IMAGEMARK_ROOT%\bin on all Data Servers. The cleanup script reads a configuration file called epa_cleanup.cfg which contains a list of all the folders from which capture files are cleaned up. A sample cleanup script called epa_cleanup.cfg.sample is installed to \%IMAGEMARK_ROOT%\opt\siips\classa\epa.ext on the BAP. In order for the cleanup script to work on the Data Servers, the configuration file must be: ! copied from the BAP folder \%IMAGEMARK_ROOT%\opt\siips\classa\epa.ext to the BAP folder \%IMAGEMARK_DATA%\opt\siips\classa\epa.ext ! renamed from epa_cleanup.cfg.sample to epa_cleanup.cfg Cleanup as a Scheduled Task When the TM packages are installed on the DS, a scheduled task called "Delete imported capture files" is automatically created which runs the epa_cleanup.pl script once per day at 11 pm. Command Line Option You can also run the clean-up script from the command line using the following syntax: epa_cleanup [-c config file] [-d directory] [-t days] -f where: -c config file names an alternate configuration file listing the directories to clean up. Cannot be used in conjunction with the -d parameters. -d directory names a specific directory for cleanup. Cannot be used in conjunction with the -c parameter. -t days specifies how many days old must imported files be to be deleted. -f bypasses a system check to make sure the script is only run on a DS. 290 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Procedures for Distributed Capture Cleaning Up Files on the Transports Automatic Daily Cleanup During each day’s operations, files are created on the transports that are only needed that day. At the start of the next day, the system automatically cleans up (removes) files as needed using the following script: eips_cleanup.pl This script runs automatically: ! on the EPU, at the start of every entry ! on the ESU, at the start of every new run Manual Cleanup In case you need to run a clean for any reason, the following utility is available: cleanxprt.pl This utility saves the files it cleans to \cleanxprt with a date and time stamp. EPU Cleanup To start a manual cleanup on the EPU: 1 Click Start, Run. 2 Type cmd. The system displays a DOS window. 3 Enter the following lines: cd \Imagemakr\bin cleanxprt epu ESU Cleanup To start a manual cleanup on the ESU: 1 Click Start, Run. 2 Type cmd. The system displays a DOS window. 3 Enter the following lines: cd \Imagemakr\bin cleanxprt esu ImageMark Transaction Manager 4.2 System Administration 291 Chapter 6: System Maintenance Administration Tasks for a Server Cluster Administration Tasks for a Server Cluster ImageMark Package Version Monitoring On every server, ImageMark 4.2.1 installs a new scheduled task called “ImageMark Package Version Monitoring”. This task runs once per hour and reports the name, LPIN and version number of every ImageMark package installed on that server to this location: \\bapname\PARAMETERS\base\pkgs\pkg_hostname.txt Review these files to quickly determine the version numbers of all ImageMark packages installed on every server. When ImageMark 4.2.1 is installed on a Windows Server 2003 Cluster, the “ImageMark Package Version Monitoring” task: 292 ! automatically raises a diagnostic alert when it detects a package version discrepancy ! writes the package information from both nodes in the cluster to the version file (the package information for each server is preceded by a section identifier [nodename]) ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Administration Tasks for a Server Cluster Setting Up Diagnostic Alerts for a Server Cluster When installed to a server cluster, the Node Monitor Service performs a new function of monitoring events in the cluster. By editing the configuration file clusevnt.dat, you can configure the Node Monitor to report any number of different cluster events as ImageMark diagnostic alerts. The default clusevnt.dat file includes the following explanations of the format of each message line: #Event Parameter file # '#' sign is used to comment the line #syntax: #<EventID>,<Source>,<State>,<Severity>,<Message> #(A)EventID: Bitmask of flags that describes the Group/Resource events to cause notifications. Following predefined event ID values shall be used: #CLUSTER_CHANGE_GROUP_ADDED #CLUSTER_CHANGE_GROUP_DELETED #CLUSTER_CHANGE_GROUP_STATE #CLUSTER_CHANGE_RESOURCE_ADDED #CLUSTER_CHANGE_RESOURCE_DELETED #CLUSTER_CHANGE_RESOURCE_STATE #A sample parameter file shall be provided to customer that shall contain sample #event parameter records commented #(B)Source: The name of the Group/Resource object that will trigger the event #(C)State: This is an optional value and to be mentioned only when Group/Resource event is a state type event. #State value with non-state type event shall be ignored by Monitoring thread #Following predefined state values have to be used. Event parameters with state value other than mentioned below shall be ignored. Blank state value would mean all state changes for the respective Group/Resource will be notified to siips log. #(C.1)Group States # #State ValueDescription #FailedAt least one resource in the group has failed. #PendingAt least one resource in the group is in a pending state. There are no failed resources. #OnlineAll of the resources in the group are online. #PartialOnlineAt least one resource in the group is online. No resources are pending or failed. #OfflineAll of the resources in the group are offline or there are no resources in the group. # #(C.2)Resource States #State ValueDescription #InitializingThe resource is performing initialization. #OnlineThe resource is operational and functioning normally #OfflineThe resource is not operational. #PendingThe resource is in the process of coming online or going offline #OnlinePendingThe resource is in the process of coming online. #OfflinePendingThe resource is in the process of going offline. ImageMark Transaction Manager 4.2 System Administration 293 Chapter 6: System Maintenance Administration Tasks for a Server Cluster # #State values of Group/Resources shall be case-insensitive. #(D)Severity: Severity Level shall be mentioned from 0 to 6 where 0 is a fatal down to 6 is information only. #(E)Message: Customized messages to be logged if the respective resource changes to the respective state for the respective event type. This is followed by several sample message lines (all commented out): #Example parameter records of clusevnt.dat: # # #CLUSTER_CHANGE_RESOURCE_STATE, BINARIES Share,Failed,0,Client may not access classa tools.Repair BINARIES share #CLUSTER_CHANGE_GROUP_DELETED,ImageMark,,0,ImageMark Group Deleted..Help!! #CLUSTER_CHANGE_GROUP_STATE,ImageMark,,1,ImageMark Group is offline! #CLUSTER_CHANGE_RESOURCE_ADDED,Capture Share,,6 ,CAPTURE Share, added. #CLUSTER_CHANGE_RESOURCE_DELETED,Parameters share,,0,CAPTURE Share deleted. #CLUSTER_CHANGE_RESOURCE_STATE,Capture share,online,0,CAPTURE Share is online. #CLUSTER_CHANGE_RESOURCE_STATE,Capture share,offline,0,CAPTURE Share is offline. CLUSTER_CHANGE_RESOURCE_STATE,ImageMark Transaction Manager Database BackEnd Service,online,6,Capture db service is online #CLUSTER_CHANGE_RESOURCE_STATE,ImageMark Transaction Manager Database BackEnd Service,offline,6,Capture db service is offline #CLUSTER_CHANGE_RESOURCE_STATE,scheduled tasks,online,6,scheduled tasks are online #CLUSTER_CHANGE_RESOURCE_STATE,scheduled TASKS,offline,6,scheduled tasks are offline #CLUSTER_CHANGE_RESOURCE_STATE,ImageMark Monitor Service,offline,6,monitor service is offline #CLUSTER_CHANGE_RESOURCE_STATE,ImageMark Monitor Service,online,6,monitor service is offline Each message line configures one error log message for one cluster event, and includes five commaseparated elements, in the following format: <EventID>,<Source>,<State>,<Severity>,<Message> To customize this file for your site, you can add one or more messages to the end of the file using this syntax, or uncomment one or more of the sample messages. 294 ImageMark Transaction Manager 4.2 System Administration Chapter 6: System Maintenance Administration Tasks for a Server Cluster Starting and Stopping ImageMark Services On an ImageMark server cluster, one server is designated the owner of the server cluster. This is called the active node server. When you start ImageMark for the cluster, you must do so from this server. Task Manager will not run from any other server in the cluster. When installed on a Server Cluster, ImageMark services are managed as cluster resources by the Cluster Service. In a cluster, you start ImageMark services by bringing the corresponding cluster resource online, and you stop them by taking the corresponding cluster resource offline. You cannot start ImageMark services in a cluster directly via the Service Control Panel. To take ImageMark services online or offline in a server cluster: 1 Enter the following at a command prompt on the active node server: cluadmin.exe The system displays the Cluster Administrator window. 2 Right-click the cluster resource you want to start or stop. The system displays a popup menu. Taking ImageMark Services Online and Offline in a Server Cluster 3 Choose Bring Online or Take Offline. The system starts (or stops) ImageMark Services for the selected cluster resource. Note: If the selected cluster resource is online, only the Take Offline option is available. If the resource is offline when selected, only the Bring Online option is available. ImageMark Transaction Manager 4.2 System Administration 295 Chapter 6: System Maintenance Administration Tasks for a Server Cluster Managing Scheduled Tasks On a clustered ImageMark server, all scheduled tasks are now managed by a cluster resource called Scheduled Tasks. You can use this resource to shutdown tasks on one server and startup tasks on another if there is a server failure. To take the scheduled tasks resource offline for a server, enter the following at the server’s command prompt: siipsbase stop To put the scheduled tasks resource back online for the server, enter the following at the server’s command prompt: siipsbase start 296 ImageMark Transaction Manager 4.2 System Administration 7 Backup, Restore, and Recovery Procedures This chapter gives instructions for the following tasks: ! creating a backup of the file systems from the station to tape ! resending work to the host application ! recovering from duplicate entry numbers ! restarting the host link ! performing a restore of the file systems from the backup tapes to the station ImageMark Transaction Manager 4.2 System Administration 297 Chapter 7: Backup, Restore, and Recovery Procedures Creating a Backup of Stations Creating a Backup of Stations Make tape backups of all stations for the following reasons: ! Tape backups can save you a great deal of time. If a station’s storage devices fail, you can restore its files from tape, instead of having to do a complete reinstallation from the original media. ! Tape backups provide additional protection if both hard disks on a station fail. ! Tape backups can be stored off-site to protect against disasters such as fire or flooding. Note: NCR does not recommend a separate backup procedure for the Windows-based stations (IDTs and TSSs). If one of these stations fails, it is more practical to do a complete reinstallation from the original media, or a ghost image. NCR recommends that you create a backup of your ImageMark Transaction Manager Windowsbased stations according to the instructions shown in the following two tables: Recommended Backups for BAP Station When to Backup What to Backup BAP After initial installation \%IMAGEMARK_ROOT% %IMAGEMARK_ROOT%\opt\siips 298 Whenever you add, update, or delete a software package \%IMAGEMARK_ROOT% Whenever you make configuration changes (such as adding new stations or users or changing the servers from which stations obtain services) \%IMAGEMARK_ROOT% Whenever you install a new set of parameters \%IMAGEMARK_ROOT% Whenever you modify an existing set of parameters %IMAGEMARK_DATA%\opt\siips %IMAGEMARK_ROOT%\opt\siips %IMAGEMARK_ROOT%\opt\siips %IMAGEMARK_ROOT%\opt\siips ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Creating a Backup of Stations Recommended Backups for Other Stations Station When to Backup What to Backup DAP After initial installation \%IMAGEMARK_ROOT% Whenever you add, update, or delete a software package DS After initial installation \%IMAGEMARK_ROOT% Whenever you add, update, or delete a software package EPU/ESU After initial installation \%IMAGEMARK_ROOT% Whenever you add, update, or delete a software package RU After initial installation \%IMAGEMARK_ROOT% Whenever you add, update, or delete a software package Creating a Backup of File Systems The backup procedure should be performed at the start of the cycle, after you have rebooted the servers and clients, but before you have restarted the system. This helps to ensure that you get clean copies of these databases. See Chapter 2, “Application Manager,” for the complete start-ofcycle procedure. Note: You may wish to perform the backup procedure twice for each station: once to create a set of backup tapes for on-site storage, and again to create a duplicate set for off-site storage. ImageMark Transaction Manager 4.2 System Administration 299 Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application Resending Work to the Host Application It may be necessary to resend Balanced Item Export (BIE) or Sub-Pass Item Export (SIE) units-ofwork to the host application. In an ATM workflow, where EIE is used to send an Encoded Item Export to the host, it may be necessary to resend EIE units of work. While work may successfully transmit to the host during BIE, SIE, or EIE, the host may lose the I-string for some reason. In ImageMark Transaction Manager, you can run the resend command line utility to retransmit the work to the host application (replaces the resenditemexport utility). The utility creates a copy of the lost I-string and retransmits it to the host application from BIE, SIE, or EIE. Upon successful completion of the transmission, BIE, SIE, or EIE deletes the duplicate I-string. The resend utility doesn't create a key. Instead, you must identify the work you want to be resent, via it's key. That is because two entries in the system might have the same entry number (an EPU entry and a 3890 entry). The entry key will uniquely identify which entry you want to resend. Note: The resend can only complete if the utility determines that a Balanced Item Export, Sub-Pass Item Export, or Encoded Item Export has been generated for that I-string. The units-of-work corresponding to the resent I-strings are identified by an ‘R’ flag in the Export Log dialog in Application Manager. You can also view the status of work sent to the host application. See “Viewing Work Export Status” on page 85. To display usage instructions for the resend utility, type the following at the command prompt: resend.pl Resending a String Using a Different Host Cycle Number Use this method to resend any of the following: ! a Sub-Pass I-string (SIE) ! a Balanced I-string (BIE) ! a Prime I-string (PIE) ! a Modified I-string (MIE) 1 Unload the autorole (BIE or SIE). 2 Modify the CYCLE_OVERRIDE value in the corresponding control file (bie_pod.lst or sie_pod.lst). 3 Resend the unit of work to the host (see next few pages). Note: To display the syntax for the resend script at any time, enter $ resend -h The system displays the following: Usage : C:\Imagemark\bin\resend.pl [BIE|PIE|MIE] -e EntryKey Usage : C:\Imagemark\bin\resend.pl [SIE|EIE] -t TraySetID Usage : C:\Imagemark\bin\resend.pl -H 4 300 Reload the autorole. ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application Recovering from a Lost BIE Entry on the Host If the CPCS or SuperMICR host loses your BIE entry (or your 00-M string from a 3890-captured entry), you can resend the work. Note: To display the syntax for the resend script at any time, enter $ resend -h The system displays the following: Usage : C:\Imagemark\bin\resend.pl [BIE|PIE|MIE] -e EntryKey Usage : C:\Imagemark\bin\resend.pl [SIE|EIE] -t TraySetKey Usage : C:\Imagemark\bin\resend.pl -H To recover lost BIE data: 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 For the Unit of work type, choose Entry. The system displays only the Entry units of work in the table. Work In Progress Dialog 3 Select the Entry unit-of-work (that is to be resent to the host) from the list, then choose UoW Details. The system displays the UoW Details dialog. ImageMark Transaction Manager 4.2 System Administration 301 Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application UoW Details Dialog 4 Note the Entry Key displayed on this screen. 5 On the BAP, open a command prompt and type the following: resend BIE -e EntryKey where EntryKey is the number you obtained from the Unit of Work Details screen. 302 6 If you have more than one active application instance, when prompted, select the application instance the entry was captured in. 7 When prompted, type y to verify that you want to send a Balanced I-string for the specified entry and pocket history. ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application Recovering from a Lost SIE Transmission to the Host If the CPCS or SuperMICR host loses your SIE string upload, you can resend the work. To recover from a lost SIE transmission to the host: 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 For the Unit of work type, choose Tray Set. The system displays only the Trayset units of work in the table. Work In Progress Dialog 3 Select the Trayset unit-of-work (that is to be resent to the host) from the list, then choose UoW Details. The system displays the UoW Details dialog. ImageMark Transaction Manager 4.2 System Administration 303 Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application UoW Details Dialog 4 Note the Trayset ID displayed on this screen. 5 On the BAP, open a command prompt and type the following: resend SIE -t TraySetID where TraySetID is the number you obtained from the Unit of Work Details screen. 304 6 If you have more than one active application instance, when prompted, select the application instance the trayset was captured in. 7 When prompted, type y to verify that you want to send a Sub-Pass I-string for the specified trayset and pocket history. ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application Recovering from a Lost EIE Entry on the Host If the host loses your entry, you can resend the work. To recover from a lost EIE entry on a host: 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. Work In Progress Dialog 2 Select the Input Processed Trayset unit-of-work (that is to be resent to the host) from the list, then choose UoW Details. The system displays the UoW Details dialog. ImageMark Transaction Manager 4.2 System Administration 305 Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application UoW Details Dialog 3 Note the Trayset ID displayed on this screen. 4 Run resend EIE -t TraySetID where TraySetID is the number you obtained from the Unit of Work Details screen. 306 5 If you have more than one active application instance, when prompted, select the application instance the tray set was captured in. 6 When prompted, type y to verify that you want to send an Encoded Item Export for the specified tray set and pocket history. ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application Recovering from a Lost PIE Entry on the Host If the host loses your entry, you can resend the work. To recover from a lost PIE entry on a host: 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 For the Unit of work type, choose Entry. The system displays only the Entry units of work in the table. Work In Progress Dialog 3 Select the Entry unit-of-work (that is to be resent to the host) from the list, then choose UoW Details. The system displays the UoW Details dialog. ImageMark Transaction Manager 4.2 System Administration 307 Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application UoW Details Dialog 308 4 Note the Entry Key displayed on this screen. 5 On the BAP, open a command prompt and type resend PIE -e EntryKey 6 where EntryKey is the number you obtained from the Unit of Work Details screen. 7 If you have more than one active application instance, when prompted, select the application instance the entry was captured in. 8 When prompted, type y to verify that you want to send a Prime Item Export for the specified entry and pocket history. ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application Recovering from a Lost MIE Entry on the Host If the host loses your entry, you can resend the work. To recover from a lost MIE entry on a host: 1 From the Application Display window of Application Manager, choose View > Work In Progress. The system displays the Work In Progress dialog. 2 For the Unit of work type, choose Entry. The system displays only the Entry units of work in the table. Work In Progress Dialog 3 Select the Entry unit-of-work (that is to be resent to the host) from the list, then choose UoW Details. The system displays the UoW Details dialog. ImageMark Transaction Manager 4.2 System Administration 309 Chapter 7: Backup, Restore, and Recovery Procedures Resending Work to the Host Application UoW Details Dialog 4 Note the Entry Key displayed on this screen. 5 On the BAP, open a command prompt and type resend MIE -e EntryKey where EntryKey is the number you obtained from the Unit of Work Details screen. 310 6 If you have more than one active application instance, when prompted, select the application instance the entry was captured in. 7 When prompted, type y to verify that you want to send a Prime Item Export for the specified entry and pocket history. ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Recovering from Duplicate Entry Numbers Recovering from Duplicate Entry Numbers Normally, after an entry is balanced, the BIE auto-activity sends the corresponding balanced I-strings (CPCS) or primary job upload (SuperMICR) to the host application. However, sometimes you must resend the work because your entry has the same number as one already received by the host. If the host recognizes the entry number during the BIE transmission attempt, it refuses the work. Since the work is not successfully sent to the host application, it is held at BIE. Recovering from Duplicate CPCS Entry Number In a CPCS environment, if the Diagnostic Interface displays a message stating that your Host entry duplicates one already received by the host, do the following to resend the work: 1 Change the CPCS host entry number. See “Changing the Host Entry Number” on page 57. 2 Take the Unit-of-Work off hold so that BIE can send it again. See “Holding Back Work” on page 39. Recovering from Duplicate SuperMICR Entry Number In a SuperMICR environment, if Diagnostics displays a message stating that your Host entry duplicates one already received by the host, do the following to resend the work: 1 2 Do one of the following to correct the problem on the SuperMICR host: ! If the duplicate entry number is the result of a failure to run the first run-of-the-day procedures on the SuperMICR host, ensure that those are now run. ! If the duplicate entry number is the result of a communication failure, delete the entry from the SuperMICR host. Take the Unit-of-Work off hold so that BIE can send it again. See “Holding Back Work” on page 39. ImageMark Transaction Manager 4.2 System Administration 311 Chapter 7: Backup, Restore, and Recovery Procedures File Recovery for IDT and TSS Workstations File Recovery for IDT and TSS Workstations ImageMark Transaction Manager does not provide special facilities for making a backup or performing a restore for the two types of Windows-based system stations: IDTs and TSSs. In the event that the files on one of these stations become corrupted, perform a complete reinstallation. 312 ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Restarting Host Link Restarting Host Link The ImageMark Transaction Manager platform software includes the following components that provide the link to your host: ! IBM SNA Toolkit software ! Expert Link Note: Expert Link is a service under Windows. If your host link goes down, you may see a variety of messages in Diagnostics, such as “ExpertLink halted”. To restart the host link, you must stop and restart all of the above software components and services and the ImageMark Transaction Manager auto-activities that work with them. To restart the host link, complete the following steps: 1 Open Application Manager. 2 Choose Application > Display.... The system displays the Display Application dialog. Display Application Dialog 3 Select the application instance that you want to display, then choose OK. The system displays the Application Display window. 4 In the Application Display window for the current instance, choose Maintain > Activities. The system displays the Activities dialog, which lists the auto-activities in this instance. ImageMark Transaction Manager 4.2 System Administration 313 Chapter 7: Backup, Restore, and Recovery Procedures Restarting Host Link Activities Window 5 In the Auto Activity list, select each active occurrence of Balanced Item Export (BIE) and Subpass Item Export (SIE). 6 Choose Shutdown. 7 At the confirmation dialog, choose Yes. The status changes to Terminating and then to Not Running. 8 If any occurrences fail to change to Not Running, select them and choose Unload. 9 Use the Windows Services administrative tool to make sure that the Expert Link service is stopped. ! If Expert Link is not stopped, use the Windows Service tool to stop it. The system displays in the unit’s status that it has stopped. 10 Access the command prompt. 11 Enter the following commands to make sure that the IBM SNA software are stopped: %IMAGEMARK_ROOT%\opt\siips\prodsna stop 12 To restart the IBM SNA software, type %IMAGEMARK_ROOT%\opt\siips\prodsna start 13 To restart Expert Link, use the Windows Services administrative tool. The unit’s status displays that it has started. 14 Return to the Application Manager Activities dialog. 15 To restart the auto-activities that you stopped before, select each one, then choose Load. 314 ImageMark Transaction Manager 4.2 System Administration Chapter 7: Backup, Restore, and Recovery Procedures Performing a Restore of Stations Performing a Restore of Stations The procedures for restoring stations depends on which server is being restored. For the BAP: 1 Restore the file system. 2 Import the system databases. For all other stations: 1 Restore the file system. Importing the BAP Databases The following procedures describe how to restore databases to the system: 1 2 3 Stop Capture processes: a Ensure that no one is signed onto any of the IDT, ESU, EPU or the TSS stations. b Stop the ImageMark Transaction Manager Base Services by typing %IMAGEMARK_ROOT%\etc\init.d\siipsbase stop Stop then restart Database Manager: a Stop Database Manager by typing %IMAGEMARK_ROOT%\etc\init.d\on7 stop b Restart Database Manager by typing %IMAGEMARK_ROOT%\etc\init.d\on7 start Import the siips_base database: a Type dbimport siips_base -l -i %IMAGEMARK_ROOT%\home\siips_db where: ! -l specifies unbuffered transaction logging for the imported database (the system requires unbuffered transaction logging) ! -i specifies the directory to import to (if necessary) Importing the wf# Database(s) 4 Determine the wf# database instances: a Run dbaccess. b Choose Query. c Select siips_base from the list. d Type the sql command select wfinstanceid from wfinstance. The wf# databases will be listed. 5 For each instance of wfinstance, import the wf# database: dbimport wf# -l -i %IMAGEMARK_ROOT%\home\siips_db where # is the wfinstance number. ImageMark Transaction Manager 4.2 System Administration 315 Chapter 7: Backup, Restore, and Recovery Procedures Performing a Restore of Stations Restarting Capture Processes 6 316 Restart all the ImageMark Transaction Manager Base Services that you stopped earlier by typing %IMAGEMARK_ROOT%\etc\init.d\siipsbase start. ImageMark Transaction Manager 4.2 System Administration 8 Troubleshooting This chapter tells you how to use the Diagnostics application, and the ImageMark Transaction Manager central error log files on the system to troubleshoot problems with your ImageMark Transaction Manager system. ImageMark Transaction Manager 4.2 System Administration 317 Chapter 8: Troubleshooting Starting Diagnostics Starting Diagnostics Diagnostics allows you to view Alert and Error messages in the ImageMark Transaction Manager error log files (%IMAGEMARK_ROOT%\var\adm\usererr\asiips). While other error types are logged in the ImageMark Transaction Manager error log file, only Alert and Error types are displayed in Diagnostics. To start Diagnostics from the Task Manager, choose Diagnostics from the Utilities list. The system displays the Diagnostics window. Diagnostics Window Start this application at the beginning of the processing day and leave it on during item processing. This way messages generated by the system will display right away, and any necessary action can be taken. Note: The Diagnostics application does not log ECU errors. The Messages button, on the right of the dialog, flashes when Diagnostics receives new messages. You can click on this button at any time to refresh the message display. Note: Diagnostics initially displays Alerts only, but you can filter messages. See “Filtering Messages” on page 319. 318 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Filtering Messages Filtering Messages This section describes the ways in which you can filter messages in Diagnostics. Filtering Messages by Date To filter messages by their date: 1 Choose Messages > Select Date. 2 Select a date from the drop-down menu. The system filters the messages by the selected date. Filtering Messages by Type To filter messages by their type: 1 Choose View > Type. 2 Select the type of messages you want to view. The system filters the messages by the selected type. Filtering Messages by Station To filter messages by station: 1 Choose View > Station. The system displays the Station dialog. Station Dialog 2 Select the station whose messages you wish to view, then choose OK. The system filters the messages by the specified station. ImageMark Transaction Manager 4.2 System Administration 319 Chapter 8: Troubleshooting Filtering Messages Filtering messages by Time To filter messages by the time in which they were logged: 1 Choose View > Time. The system displays the Time dialog. Time Dialog 2 Select Set time range. 3 Enter the desired time range, using 24 hour clock form, in the Hour and Minute fields, then choose OK. The system filters the messages by the specified time. 320 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Viewing Message Details Viewing Message Details There are several areas where information can be found about a particular message. Summary Content The first, and most obvious place to learn about a messages is by reading the information given in the Summary column of the Diagnostics window. This provides a general description of the problem. Alert and Errors Summary Displaying More Details You can display more technical information, including details about which process failed. For some messages, Diagnostics provides steps to fix the problem. To view messages in more detail: 1 Select the message, then choose Messages > Details. The system displays the Details dialog. ImageMark Transaction Manager 4.2 System Administration 321 Chapter 8: Troubleshooting Viewing Message Details Details Dialog 2 For information on how to fix the problem, choose Help. The system displays the Help dialog for the selected message. Help Dialog 322 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Acknowledging Messages Acknowledging Messages To acknowledge messages that you have already viewed, or addressed: 1 Highlight the message(s) you would like to acknowledge, and choose Messages > Acknowledge. An ‘A’ displays next to the selected message(s) under the Acknowledged column. Acknowledged Messages 2 To acknowledge all messages at once, choose Messages > Acknowledge All. An ‘A’ displays next to all of the messages under the Acknowledged column. ImageMark Transaction Manager 4.2 System Administration 323 Chapter 8: Troubleshooting Printing Messages Printing Messages To print selected messages: 1 Select the message(s) you would like to print, then choose Messages > Print.... The system displays the Print dialog. Print Dialog 2 Select the printer you wish to print the message(s) to, then choose OK. The system proceeds to print the selected message(s). 324 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Configuring Notification Configuring Notification To change the interval at which Diagnostics looks for new messages in the system error logs, or to set the audible alarm on/off: 1 Choose Messages > Notify Option.... The system displays the Notify Options dialog. Notify Options Dialog 2 Type the interval time period you would prefer. 3 Select or clear the Audible Notification check box to turn the new message audible alarm feature on or off, then choose OK. The system proceeds to configure notification to the specified alert interval and alarm setting. ImageMark Transaction Manager 4.2 System Administration 325 Chapter 8: Troubleshooting Troubleshooting Freeing and Initialization Troubleshooting Freeing and Initialization During your start-of-cycle procedures, you may run into problems that require troubleshooting. ImageMark Transaction Manager supports combination box configurations of a combined BAP/DAP/DS or a combined BAP/DAP. While running, freeall (the script that frees the storage space) initsrv (the script that initializes the databases one at a time) may generate some of the following errors: ! If there is not enough disk space available, initsrv will exit with a message that informs you that more than 10% disk space must be available. ! If you attempt to free a storage space while an application is still running on it, the script will exit with a message that informs you that the storage space could not be freed because a cycle is still active. You must end the cycle first before freeing the storage space. Each time a storage space return a status of “Freeing Failed” in the Free Storage Space dialog, the Summary column displays the reason for the failure. Depending on the error message, you may be able to fix the problem and perform the freeing process again. The freeing scripts save errors and status messages to an output log file in the server’s root directory %IMAGEMARK_ROOT%\free.servername.storagenumber.out, where: ! servername refers to the name of the server (e.g., bap01a) ! storagenumber refers to the number assigned to the storage space. Each time a storage space returns a status of “Initializing Failed”, the Summary column in the Initialize Storage Space dialog displays the reason for the failure. Depending on the error message, you may be able to fix the problem and perform the initialization again. The initialization scripts also save errors and status messages to an output log file in the server’s root directory %IMAGEMARK_ROOT%\init.servername.storagenumber.out, where: ! servername refers to the name of the server (e.g., bap01a) ! storagenumber refers to the number assigned to the storage space. When you are freeing and initializing a storage space, the output log file(s) are scanned for possible errors, and the appropriate status is displayed. Note: Before the freeing and initialization scripts exit, they will save a copy of the output files to the %SIIPS_BASE_MNT% directory, which is mapped to the %IMAGEMARK_ROOT%\opt\siips directory on the BAP. If you cannot fix the error, write down the messages appearing in the output log file, then contact NCR Support. 326 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Reading Capture Error Log Files Reading Capture Error Log Files Whenever any of the ImageMark Transaction Manager subsystems encounters an error, it sends a message to a central error log file. This file resides in a subdirectory on the BAP. Each message tells you which subsystem the error occurred on and which software packages it relates to, thus making it relatively easy for you to narrow down the source of a problem. This section: ! explains where to find the error log files ! describes how to read the messages in these files ! gives some advice on how to troubleshoot with error messages to decide what corrective action to take Where to Find ImageMark Transaction Manager Error Log Files ImageMark Transaction Manager maintains eight error log files: one for the current day, and seven for the seven preceding days. They are all kept in the %IMAGEMARK_ROOT%\log directory on the BAP. Current Error Log Filename The ImageMark Transaction Manager error log file for the current day is named siips. History Error Log Filenames Each of the seven error log history files has a numeric suffix (asiips.1 to asiips.7.) That is, today's error file is called siips, yesterday's error file is called asiips.1, and the error file for this day in the previous week is called asiips.7. At the beginning of every data processing day ImageMark Transaction Manager creates a new (current date) error log file (asiips) and increases the numeric suffixes of the error history files by one. That is, asiips becomes asiips.1, asiips.1 becomes asiips.2 and so on. Check the file date and time stamp to determine which error log file is valid for any particular date. Reading Error Log Files The most recent errors are located at the end of the error log file, the oldest at the beginning. You can also use Diagnostics, described earlier in this chapter, to view only alert and error severity category error messages. See “Severity Codes” on page 330 for a description of ImageMark Transaction Manager severity codes. Below is a typical message from the ImageMark Transaction Manager error log file with all the parts of this message identified. The tables following the diagram describe each of these parts in more detail. ImageMark Transaction Manager 4.2 System Administration 327 Chapter 8: Troubleshooting Reading Capture Error Log Files Sample Message From ImageMark Transaction Manager Error Log File Error Message Components The following table describes each of the components of an ImageMark Transaction Manager error log message. ImageMark Transaction Manager Error Message Components 328 Error Message Component Description Date and time Date and time that the error message was produced. Subsystem name The name of the ImageMark Transaction Manager subsystem that produced the message. Originating process name Name of the software program that is generating the error message. May also include the path. Operator identifier The operator identifier of the person identifier who was running the ImageMark Transaction Manager program that caused the error. ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Reading Capture Error Log Files Error Message Component Description Station number Each ImageMark Transaction Manager subsystem has a unique station number in addition to its subsystem name. The station number in the error message tells you which subsystem was running the ImageMark Transaction Manager program that caused the error. Instance number Every currently loaded session of an ImageMark Transaction Manager application is assigned an instance number. The number in the error message identifies the session in which the error occurred. Application type number Every currently loaded combination of an ImageMark Transaction Manager application and its parameter set is assigned an application type. Component type number Every currently loaded combination of an ImageMark Transaction Manager software component and its parameter set is assigned a component type. Process identifier The process identifier (PID) that identifies ImageMark Transaction Manager software running under Windows; the window handle, for ImageMark Transaction Manager applications running under MS-Windows. Source module The name of the module of the ImageMark Transaction Manager source program code in which the error occurred. Source module line number The source code line number on which the error occurred. Severity code See the ImageMark Transaction Manager Severity Codes table (following page). Error code A unique number that tells you on what subsystem the error occurred and to which software program it relates. Error message text The actual error message text that describes the error. ImageMark Transaction Manager 4.2 System Administration 329 Chapter 8: Troubleshooting Reading Capture Error Log Files Severity Codes The following table briefly describes the meaning of the severity codes in the ImageMark Transaction Manager error messages. ImageMark Transaction Manager Severity Codes Severity Code Category Explanation 0 Alert This error requires you to take some specified action immediately. 1 Error This is a fatal application error that causes the application (software component) to terminate. For example, you would expect this error if ImageMark Transaction Manager couldn't open a database. 2 Recoverable This is usually a serious application error from which ImageMark Transaction Manager can recover. For example, you would expect this error if ImageMark Transaction Manager couldn't initially connect to a database but did so after retrying. 3 Inconvenience This message informs you that you have a minor ImageMark Transaction Manager error that is easily remedied. 6 Information This message provides information about ImageMark Transaction Manager requiring no action on your part. Troubleshooting with Error Messages This section suggests one way you can use ImageMark Transaction Manager error messages to troubleshoot problems. View the ImageMark Transaction Manager Error Log File First, view the current ImageMark Transaction Manager error log file (%IMAGEMARK_ROOT%\log\asiips) to see what messages have been sent there today. Use this manual to help interpret these messages. Browse the History Log File Next, browse the ImageMark Transaction Manager history error logs (asiips.1 through asiips.7, in the same directory), to see whether any related error messages have been logged over the past week. 330 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Reading Capture Error Log Files Error Message Groupings As you browse the log files you may notice that some of the error messages are grouped. These all fall into the same error code range or contain similar component tags. If the error codes for several error messages all fall in the range of one ImageMark Transaction Manager subsystem, for example, the Recognition Subsystem, examine the error messages more closely. They can help you narrow down the suspect software component to the Recognition Unit Manager, for example. Error Message Text The error message text may also tell you whether you can service the problem yourself or whether it is an internal ImageMark Transaction Manager application problem that you must report to secondlevel support. If the problem is internal, the error messages provide very detailed error “roadmap” information including the source module name and line number for ImageMark Transaction Manager software components and the line number. This information is useful to second-level support. NCR Publications Once you have identified the subsystem that is probably causing the problem, consult any NCR publications provided with that subsystem. If you don't find the information you need in one of the subsystem service books you at least can point your NCR service provider to the subsystem and software component where the problem seems to be. Getting the Version Number The NCR service provider will want to know what version number of ImageMark Transaction Manager you are running. Before phoning, look up this number by looking in the following folder: %ImageMark_Data%/opt/siips/base/pkgs Phoning Second-level Support In addition to phoning your NCR service provider, you may wish to send a copy of all of the ImageMark Transaction Manager error logs to your service provider in either printed form or contained on some electronic medium. ImageMark Transaction Manager 4.2 System Administration 331 Chapter 8: Troubleshooting If a Recognition Sub-System Fails If a Recognition Sub-System Fails In the standard setup, each Recognition Sub-System (RSS) consists of a Recognition auto-activity (RSS) configured with a DS. At some sites, however, there may be two Recognition auto-activities (RSS A and RSS B). If a Recognition auto-activity fails for any reason, there are two ways you will know: ! error messages, typically starting with the phrase “RSS Peripheral Access: RecUnit,” will appear in the Activities window of Application Manager ! the Status column for the corresponding RSS CAR auto-activity will indicate that it has failed. If you have two Recognition auto-activities on a DS and one of them fails, the DS will pass all work to the auto-role that is still functioning. However, this will decrease the throughput. If this happens, you may divert work to other DSs that have surplus capacity until the auto-role is fixed. If you have only one Recognition auto-activity and it fails, you must place the RSS CAR auto-activity into “shuffle mode” so that any work from this DS will bypass it and move directly to Codeline Completion. If resources allow, you may also want to increase the number of Amount Keying operators to compensate for the loss of Recognition services. Placing CAR Auto-Activity Into Shuffle Mode To place the RSS CAR auto-activity in shuffle mode: 1 Log onto the DS that controls the RecUnit. 2 Open the file \%IMAGEMARK_ROOT%\bin\rss and find the following lines: setenv ShuffleIfRecOpenFail 0 setenv ShuffleIfRecIOFail 0 3 Change the values from 0 to 1, then save the file. 4 Open Application Manager. 5 Choose Application > Display. The system displays the Display Application dialog. 332 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting If a Recognition Sub-System Fails Display Application Dialog 6 Select the application instance that you want to display, then choose OK. The system displays the Application Display window. 7 Choose Maintain > Activities.... The system displays the Activities dialog. Activities Dialog 8 Select the failed RSS CAR auto-activity, then choose Load. 9 At the confirmation dialog, choose Yes. The system reloads this auto-activity in shuffle mode, but workflow will bypass it. ImageMark Transaction Manager 4.2 System Administration 333 Chapter 8: Troubleshooting If a Recognition Sub-System Fails Placing CAR Auto-Activity in Normal Mode To return the RSS CAR to normal processing mode: 1 Open Application Manager. 2 Choose Application > Display. The system displays the Display Application dialog. 3 Select the application instance that you want to display, then choose OK. The system displays the Application Display window. 4 In the Application Display window, choose Maintain > Activities.... The system displays the Activities dialog. 5 Select the RSS CAR auto-activity, then choose Shutdown. 6 Log in to the DS that controls the RecUnit. 7 Open the file \%IMAGEMARK_ROOT%\bin\rss and find the following lines: setenv ShuffleIfRecOpenFail 1 setenv ShuffleIfRecIOFail 1 8 Change the values from 1 to 0, then save the file. 9 In the Application Display window, choose Maintain > Activities.... The system displays the Activities dialog. 10 Select the RSS CAR auto-activity, then choose Load. 11 At the confirmation dialog, choose Yes. The system reloads this auto-activity in normal mode, but workflow will bypass it. 334 ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Identifying SMM Problems Identifying SMM Problems This section outlines commonly encountered errors associated with the SMM feature. No Files Were Imported This problem is likely due to one of the following factors: ! The root file path directory does not have read/write permissions. ! The input file was not downloaded from the bank’s mainframe. ! The SMM auto-activity is not running on the BAP. SMM is Not Picking Up Units of Work This problem is likely due to one of the following factors: ! The SMM auto activity is not running on the DS. ! The UOWSource attribute is not set to -l by Workflow Manager. Ensure that the correct version of wmserver is installed and that the application type had a correct version of wmmgr.dat when typeinst was performed. The Unit of Work is Held at SMM If no matching input file is found for a unit of work, it is held at SMM. This problem is likely due to the fact that the there was no input file available when the unit of work was initially processed. After the required input file has been imported, choose Retry in the Second Source View dialog to resubmit the unit of work to SMM. SMM is Not Matching any Units of Work This problem is likely due to one of the following factors: ! The SMM auto-activity is in shuffle mode. Check the smm_pod.lst file. If SMM_SHUFFLE = yes, SMM is in shuffle mode. ! The SMM auto-activity cannot locate the input file for the unit of work. Check the directory where branch capture input files are configured to be downloaded from the mainframe. Also check the SS_FILE table on the BAP to see if any branch capture input files have been successfully imported. There are No Teller Files to Import This problem is likely due to the fact that the file transfer process for branch capture input files did not work. Teller files may have to be retransmitted. ImageMark Transaction Manager 4.2 System Administration 335 Chapter 8: Troubleshooting Identifying SMM Problems There are No Teller Files From a Specific Branch This problem is likely due to one of the following factors: ! The file transfer process for branch capture input files did not work for that branch Check with the mainframe system administrator. ! Communication links to the branch are no longer operational. Check with the mainframe system administrator. ! The branch information is incorrect or missing from the teller file. View the unit of work items in the Second Source View Details dialog and ensure that their branch information matches the branch information referenced in the input file. SMM Attempts to Import a Duplicate File This problem is likely due to the fact that the mainframe downloaded the teller files more than once. The existence of duplicate teller files, one with the .complete file extension and one with the .bad file extension is a symptom of this problem. You might also encounter a third duplicate file that has no extension because it has not been imported yet. You can address this problem by adding a .duplicate extension to the third file. This will prevent SMM from attempting to reprocess it later. SMM is Running Slowly This problem is likely due to one of the following factors: ! There are too many duplicate records for SMM to match and use for lookups. Review the SECOND_SOURCE_FIELD_PARMS and identify additional SMM fields. ! You are running group match mode. This mode runs more slowly than individual match mode. ! Performance is slow due to a high number of unmatched records in the database. A high number unmatched records means more rows in the database for the system to match against. Bank Diverts Work From One Site to Another This problem is caused by scenarios when a bank must divert its work to another site in order to process its transactions. The ssfilter script extracts selected rows out of the SMM file and places them into a new file. It is installed in the %IMAGEMARK_ROOT%\bin directory. To execute the script, run \%IMAGEMARK_ROOT%\bin\ssfilter -f filename | -s site1, ... | -b branch1, ... where: 336 ! filename is the name of the file ! site is the site number ! branch is the branch number ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting If an Activity or Auto-Activity Fails Spontaneously If an Activity or Auto-Activity Fails Spontaneously If an ImageMark Transaction Manager activity or auto-activity fails spontaneously, you may sometimes be able to get it running again by rebooting the subsystem that it runs on. Caution: Do not reboot a subsystem unless you have been told in your ImageMark Transaction Manager System Administration course that this is an acceptable option in this particular situation. When an activity or auto-activity fails spontaneously, even if rebooting gets it running again, you should always let your NCR service provider know about the problem. That way, we can attempt to identify the cause and try to prevent it from recurring. ImageMark Transaction Manager 4.2 System Administration 337 Chapter 8: Troubleshooting Emergency Recovery Procedures Emergency Recovery Procedures ImageMark Transaction Manager has procedures to protect the logical logs and data in case of a hardware or software failure. These procedures include the following: ! what to do if the start-of-day backup or archive fail ! what to do if, during the processing day, the logical logs fill up faster than the system can back them up ! what to do if the system server crashes or locks-up, resulting in a corrupted Data Manager database Start-of-Day Backup and Archive Failures If the start-of-day Level 0 Archive or continuous logical log backup fails, the error messages are logged to the reinit output file for that server. These are as follows: Error Log Output Filenames Server Log filename BAP %IMAGEMARK_ROOT%\reinitbap.out DAP %IMAGEMARK_ROOT%\reinitdap.out DS %IMAGEMARK_ROOT%\reinitds.out Note the messages appearing in the output log, then contact your NCR support person. Emergency Logical Log Backup In the event that the logical logs fill up faster than the system can back them up, or that the usual storage of logical logs to disk fails, Data Manager will halt until the emergency back-up is completed. To perform the emergency logical log backup, proceed as follows: 1 Contact your NCR support person to inform him/her that this problem has occurred. 2 Log onto the failed server. 3 At the prompt, type the emergency log backup script: onbar -b -l The system will save the logical logs to disk. This process will take 5-10 minutes on a DS, and under 5 minutes on a DAP or BAP. 338 4 Open Application Manager and ensure that all the auto-activities for the application instance are active and running properly. 5 Open Diagnostics, and note any Alerts generated by the system. ImageMark Transaction Manager 4.2 System Administration Chapter 8: Troubleshooting Emergency Recovery Procedures Recovering from a System Failure In the event that your system fails, resulting in a database being corrupted on your BAP, DAP, or DS (that is, any server where you have Data Manager installed) you must contact your NCR support person immediately. The recovery process has two steps: ! restoring the Level 0 Archive ! restoring the logical log backup NCR Support is responsible for performing the restore of the Level 0 Archive. This procedure should take less than 30 minutes to complete. The second procedure, restoring the logical log backup, can be done once the Level 0 Archive has been restored. Since this script can take up to 8 hours to run, NCR Support may ask you to run and monitor it. To perform the logical log restore, proceed as follows: 1 Log onto the appropriate server. 2 Type the name of the restore script: %SIIPS_BASE_MNT%\initialize\siipsdbrestore Any errors resulting from this script will be printed to the console. Note any messages then contact NCR Support. ImageMark Transaction Manager 4.2 System Administration 339 Chapter 8: Troubleshooting Emergency Recovery Procedures 340 ImageMark Transaction Manager 4.2 System Administration A Report Samples This appendix contains samples of all printable ImageMark Transaction Manager 4.2 reports. Most reports are grouped into three categories: ! End-of-Cycle reports ! Operator Performance reports ! Auto-Activity reports Note: There is one report that does not fall into any of these categories: the MIE Exception report. A sample of this report is included at the end of this appendix. ImageMark Transaction Manager 4.2 System Administration 341 Appendix A: Report Samples End-of-Cycle Report Samples End-of-Cycle Report Samples This section contains samples of all printable End-of-Cycle reports. This includes the following: ! Adjustment Summary report ! Amount Suspect Summary report ! ATM reports ! ! 342 Unmatched ATM Envelope report Audit reports ! ImageMark Audit report ! Audit Exceptions report ! Modified Entry report ! Deposit Review Audit report ! Automatic Codeline Completion Statistics report ! BIE, EIE, and SIE Deadline reports ! BTM reports ! BTM Batches Not Received report ! Next Day BTM Batches Received report ! Items Missing from BTM Batches Received Today report ! Items Received without BTM Batches Today report ! BTM Batches Aged Out report ! BTM Branch Rankings report ! Teller Ranking report ! Incorrectly Matched Items report ! Teller Keying Errors Detail report ! Bundle List report ! EPU Exception Item reports ! Unresolved Suspense Items report ! Merchant Summary report ! Research Items – Exception Items in Kill Pocket report ! Forced Adjustment report ! Image Quality reports ! Image Quality Failure Detail report ! Image Quality Test Performance Summary report ! Image Quality Transport Performance Summary report ! Items Aged Out report ! Items Not Received report ImageMark Transaction Manager 4.2 System Administration Appendix A: Report Samples End-of-Cycle Report Samples ! Items Pull reports ! Non-Negotiable Items report ! Pocket Listing report ! Recognition Performance Statistics reports ! RSS Performance Summary report ! CAR Performance Summary report ! CAV Performance Summary report ! RSS Reclassification report ! RIR Document Distribution report ! Second Source Match and Merge Performance Summary report ! Truly Missing and Free report ! User Permission and Login Information report ImageMark Transaction Manager 4.2 System Administration 343 344 Entry ----15 15 Block ---------00 00 ***********END OF REPORT*************** NCR Training 6 6 Total: Grand Total: # Adjustments ------------1 5 Cycle: 1 Adjustment Summary Report 1 Adj. Code -------------------------------------10 42 09/Nov/2004 Page Account Number -------------3616817 3289398 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Total AK MICR Misread Misenc Miskey 3 5 17 16 0 6 36 0 0 2 0 0 0 2 0 0 0 0 0 0 0 0 0 0 Less Digits 1 0 0 0 0 3 3 0 0 0 46 192 0 67 113 0 74 0 0 0 0 0 0 0 0 0 0 0 0 Key Block Items Showouts Reclass at BAL SUSP Adjust Nonproof AK ------- ------- --------- ----------- ---------- 26/Oct/2004 ImageMark Transaction Manager 4.2 System Administration ------- Adj2 ------- END OF REPORT ------- ------Totals: ********** Adj1 ------- Entry ------- ------- Adj4 ------- ********** ------- Adj3 ------- ------- Adj5 ------- ------- Adj6 ------- ------- Adj7 ------- ------- Adj8 ------- ------- Adj9 ------- ------- Adj10 ------- Totals: 41 42 2 2 0 0 0 6 238 254 0 0 0 ======================================================================================================================== 11 13 14 16 Total Items Cycle: Page 1 Less Key Dig at Wrong CLC ------ ------- ------- ---------- ------- ------- ------ ------- ------- Entry NCR Training Amount Suspect Summary Report Appendix A: Report Samples End-of-Cycle Report Samples 345 346 1234567 Trans Time 12:00:45 12:00:45 12:00:45 12:00:45 1234568 Trans Time 12:00:45 12:00:45 12:00:45 12:00:45 Trans Num 459 459 459 459 Trans Num 456 457 458 459 8 4 4 1 Grand total # envelopes: Total # envelopes: ATM Number: 1234568 Trans Date Trans Time 042306 12:00:45 Trans Num 459 1 Total amount: $ Type SAV Deposit Card Number 555544443333 Total amount: $ Type SAV Deposit Grand total amount: $ Card Number 555544443333 Envelopes Missing for Posting Date 031506 1 Trans Num 459 Total # envelopes: ATM Number: 1234568 Trans Date Trans Time 042306 12:00:45 Account Number 450644501909 450644501904 450644501904 012345678901234 500.00 Account Number 450644501904 450644501903 450644501902 450644501901 Total amount: $ 1,001,499.99 Type SAV Deposit SAV Deposit SAV Deposit SAV Deposit Total amount: $ Type DDA Deposit SAV Deposit Foreign Deposit Payment 500.00 Account Number 450644501909 500.00 500.00 Account Number 450644501909 Grand total amount: $ 1,001,999.99 Card Number 555544443333 555544443333 555544443333 555544443333 Card Number 555544443333 555544443333 555544443333 555544443333 Envelopes Missing for Posting Date 031606 Grand total # envelopes: Total # envelopes: ATM Number: Trans Date 042306 042306 042306 042306 Total # envelopes: ATM Number: Trans Date 042306 042306 042306 042306 Envelopes Aged Out Report For 061306 Unmatched ATM Envelope Report for 061306 Amount FIID $ 500.00 1 Amount FIID $ 500.00 1 Amount FIID $999,999.99 1 $ 500.00 9999 $ 500.00 1 $ 500.00 1 Amount FIID $ 125.00 1 $ 125.00 1 $ 125.00 1 $ 125.00 1 Ref 123 Ref 123 Report as of 0613 Report as of 0613 Ref 123 123 M12345678901234567890 123 Ref 123 123 123 123 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration 280000 280000 150000 50000 73161220 !!!b!!!!039 73161220 !!!b!!!!039 73161221 !!!7!!!7!! 73161222 73161223 !!!b!!!9849 80000 38546 73161163 0b!!! ---------- AMOUNT ------------- DRN ANY BANK ImageMark Audit Report K K K K K ----- STAT 093 093 093 093 093 ---- OPER (ds01a) KM C K CC K BB KMCC KMCC S CMM S ---------- 1234567890 4 3 3 3 3 2 3 4 3 4 4 3 3 1 3 3 3 3 3 17 1 3 3 2 ??9849 ???039 50 10000000 100 06414535 06414533 02823847 10000 20964277 20503718 26276364 29603325 84366275 10000 16683 33317310 47544072 000095 061000052 26453288 13912749 09889730 38112441 2166 27103 061000010 39997544 502111002 061000010 CODELINE CHG DATA BEFORE DATA AFTER --- ----------------- ----------------12 12 12 12 3 06414535 C093 C093 C093 C093 C093 C093 B008 C093 C093 B008 C093 2!! 3!3 OPER ---B074 B074 B022 B022 C093 c42396118c d502201666d C093 C093 K093 C093 C093 C093 C093 C093 B008 K093 C093 C093 C093 16/Apr/2003 Page 1 Appendix A: Report Samples End-of-Cycle Report Samples 347 348 0108299908000147 0108299908000241 0108299908000244 0108299908000245 0108299908000246 0108299908000252 Batch: 0518 0108299908000130 0108299908000234 0108299908000240 0108299908000231 0108299908000223 0108299908000216 0108299908000204 0108299908000211 0108299908000203 0108299908000202 Batch: 0515 0108299908000195 0108299908000197 0108299908000200 -------------------Batch: 051544937 0108299908000192 DRN Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Balancing Expert Balancing Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Expert Balancing Balancing Balancing Balancing Balancing Balancing Balancing Codeline Completion Balancing Balancing Codeline Completion Balancing 333 111 111 333 111 Entry Processing Autorole ------------------------------- Activity Cycle: 1 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 111 Oper No. ---- Process Date: 29/Aug/2005 Audit Exceptions Report NCR Training 3 16 1 3 17 13 13 17 17 18 17 19 19 17 1 19 17 17 17 18 17 18 16 17 17 19 16 18 17 12 16 12 12 17 73 Chg Code ---- Before 41 0225661 0 21500 02149943 91 3 41 0 19191 9 10000 45500 45500 10000 10000 10000 10000 19500 4500 4500 4500 43123 43123 9000 9000 8 1800 1800 1800 0 64375 64375 9 32 14 14 31 31 31 31 1950000 22 22 18 23 23 26 26 8 26 17 17 0 17 17 After ----------------------------- Entry: 1 ----------------------------- Host Entry: 1 Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Host Entry ----- ********** Orig. Entry ----8661 8662 8663 END OF REPORT HOST Cycle No. ----2 2 2 ********** ORIGINAL CYCLE Cycle Posting No. Date -------------------1 06/Feb/2004 1 06/Feb/2004 1 06/Feb/2004 ANY BANK - POD - Modified Entry Report CYCLE Posting Date Balanced I-String ----------- ----------------12/Feb/2004 12/Feb/2004 12/Feb/2004 Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 349 350 ********** --------8000 8000 20894 Reason Code -----1 2 2 END OF REPORT ********** Total Non-Negotiable Amount: 36894 -----------0080313054 0007900844 9418663857 -----------3100000114 3100000116 3100000119 --------666666666 666666666 666666666 Amount DEPOSIT NON-NEGOTIABLE ITEMS AUDIT: Non-Negotiable Information: DRN R/T Account Reason -----1 1 1 1 11/Feb/2004 Amount --------8000 10000 16000 8000 Total Hold Amount: 42000 DEPOSIT REVIEW HOLD AUDIT: Hold Information: DRN R/T Account ------------ --------- -----------3100000109 071000013 3100000111 011500120 3100000108 011500120 11633840 3100000113 211073981 43702565 Cycle: 3 NCR Training Deposit Review Audit Report ------------3100000112 3100000115 3100000115 --------5990-1364 5990-1364 5990-1364 Deposit Information: DRN R/T Deposit Information: DRN R/T ------------- --------3100000107 5990-1364 3100000107 5990-1364 3100000107 5990-1364 3100000112 5990-1364 Total # Non-Negotiable Items: 3 ---------------------------------- Comments Total # Hold Items: 4 Comments ---------------------------------AUTOHOLD: Transit Item over 5000 AUTOHOLD: Transit Item over 5000 AUTOHOLD: Transit Item over 5000 AUTOHOLD: Transit Item over 5000 Page 1 ---------4091064893 4220212063 4220212063 Account Account ---------0010487646 0010487646 0010487646 4091064893 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ACC Skipped ACC Assigned Operator Modifed ACC Field Cycle: xxx Bank Name: Bank of Anytown F1 F2 F3 SWOCR F4 Automatic Codeline Completion Statistics Report F5 F6 F7 F8 F9 CAR/LAR F10 xxxxxx F1 Page 1 XXXXXX Posting Date: 9/14/2005 Date: 9/13/2005 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 351 Appendix A: Report Samples End-of-Cycle Report Samples BIE Deadline Report There are four samples of this report, all in CPCS format: Example One In this example: ! there are two entries, each with an on-us rehandle pocket (3), a transit rehandle pocket (5), and an EPU reject pocket (2) ! the EPU reject pocket (2) was combo’d with the transit rehandle pocket (5) ! at the ESU, the onus rehandle from entry 0001 was stacked after the onus rehandle from entry 0002, and the SIE was called 0002-2-03-00-00-00-I-000 ! at the ESU, the transit rehandle from entry 0002 was stacked after the transit rehandle from entry 0001, and the SIE was called 0001-2-05-00-00-00-I-000 Example Two In this example: ! the EPU reject pocket was run as a separate ESU run ! at the ESU, the EPU reject pocket from entry 0001 was stacked after the EPU reject pocket from entry 0002, and the SIE was called 0002-2-02-00-00-00-1-000 Example Three In this example: ! the EPU reject pocket was run offline ! the reject transit items are included in the TOTALS line, but not in the On/Before or After deadline total lines Example Four This example shows the format of the BIE Deadline report for 3890 Capture. 352 ImageMark Transaction Manager 4.2 System Administration 04:30:00 0002 03:00:00 12:45:00 09:00:00 03:15:00 12:45:00 09:00:00 06:15:00 06:00:00 11:30:00 07:00:00 11:30:00 07:00:00 04:00:00 09:30:00 05:00:00 01:45:00 07:00:00 02:30:00 1000 0 1000 2000 0 2000 EPU TO TRANSIT EXPORT AMOUNT DIFFERENCE (000s) 10000 4000 6000 11000 4500 6500 TOTAL #ITEMS 0001-1-00-00-00-00-I-000 0002-2-03-00-00-00-I-000 0001-2-05-00-00-00-I-000 0002-1-00-00-00-00-I-000 0002-2-03-00-00-00-I-000 0001-2-05-00-00-00-I-000 IDENTIFIER 09/Mar/2006 END OF REPORT ********** Transit Total: 3000 Transit Total: 0 ********** 10:30:00 Deadline: 10:30:00 Deadline: On/Before After Total # Items: 21000 Total # Items: 0 ---------------------------------------------------------------------------------------TOTALS: Number Entries: 2 Transit Total: 3000 Total # Items: 21000 02:00:00 0001 SIE TIME BIE TIME EPU HOST START ENTRY TIME PIE TIME Cycle: 1 102 Process Date: 09/Mar/2000 NCR Training - Your Bank BIE Deadline Report - Example 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 353 354 02:00:00 04:30:00 0001 0002 06:15:00 06:00:00 BIE TIME 11:00:00 11:30:00 07:30:00 11:00:00 11:30:00 07:30:00 SIE TIME 1 04:00:00 09:00:00 09:30:00 05:30:00 01:45:00 06:30:00 07:00:00 03:00:00 1000 100 0 900 2000 200 0 1800 EPU TO TRANSIT EXPORT AMOUNT DIFFERENCE (000s) Cycle: 102 10000 100 4000 5900 11000 200 4500 6300 TOTAL #ITEMS 0001-1-00-00-00-00-I-000 0002-2-02-00-00-00-I-000 0002-2-03-00-00-00-I-000 0001-2-05-00-00-00-I-000 0002-1-00-00-00-00-I-000 0002-2-02-00-00-00-I-000 0002-2-03-00-00-00-I-000 0001-2-05-00-00-00-I-000 IDENTIFIER 09/Mar/2006 END OF REPORT ********** ********** 10:30:00 Deadline: 10:30:00 Deadline: On/Before After Transit Total: 2700 Transit Total: 300 Total # Items: 20700 Total # Items: 300 ---------------------------------------------------------------------------------------TOTALS: Number Entries: 2 Transit Total: 3000 Total # Items: 21000 EPU START TIME HOST ENTRY Process Date: 09/Mar/2000 NCR Training - Your Bank BIE Deadline Report - Example 2 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 02:00:00 04:30:00 0001 0002 06:15:00 06:00:00 BIE TIME 11:30:00 07:30:00 11:30:00 07:30:00 SIE TIME 1 04:00:00 09:30:00 05:30:00 01:45:00 07:00:00 03:00:00 1000 0 900 2000 0 1800 EPU TO TRANSIT EXPORT AMOUNT DIFFERENCE (000s) Cycle: 102 10000 4000 5900 11000 4500 6300 TOTAL #ITEMS 0001-1-00-00-00-00-I-000 0002-2-03-00-00-00-I-000 0001-2-05-00-00-00-I-000 0002-1-00-00-00-00-I-000 0002-2-03-00-00-00-I-000 0001-2-05-00-00-00-I-000 IDENTIFIER 09/Mar/2006 ********** On/Before After END OF REPORT ********** 10:30:00 Deadline: 10:30:00 Deadline: Transit Total: 2700 Transit Total: 0 Total # Items: 20700 Total # Items: 0 -----------------------------------------------------------------------------------------TOTALS: Number Entries: 2 Transit Total: 3000 Total # Items: 21000 EPU START TIME HOST ENTRY Process Date: 09/Mar/2000 NCR Training - Bank 1 BIE Deadline Report - Example 3 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 355 356 99:99:99 99:99:99 9999 9999 99:99:99 99:99:99 BIE TIME SIE TIME Host Cycle: . . . 99:99:99 99:99:99 EPU TO EXPORT DIFFERENCE %cycle 09/Mar/2006 999999999 999999999 TRANSIT AMOUNT (000s) 99999999 99999999 TOTAL # ITEMS xxxx-1-00-00-00-00-M-000 xxxx-1-00-00-00-00-M-000 IDENTIFIER On/Before After %bie deadline Deadline: %bie deadline Deadline: Transit Total: 999999999 Transit Total: 999999999 Total # Items:99999999 Total # Items:99999999 ........................................................................................................................ TOTALS: Number Entries: 99 Transit Total: 999999999 Total # Items: 99999999 EPU START TIME HOST ENTRY Process Date: %process date %Multi-Bank Name BIE Deadline Report - Example 4 (3890) Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Cycle: 1 Prosting Date: 29/Oct/2006 Cycle Region 1 : 2--02--0-0- ImageMark Transaction Manager 4.2 System Administration END OF REPORT ********** Transit Total: 192162 Transit Total: 0 ********** 24:00:00 Deadline --> 24:00:00 Deadline --> On/Before After Total # Items: 270272 Total # Items: 0 TRANSIT PRIMARY SECONDARY AMOUNT TOTAL JOB JOB EIE TIME (000s) # ITEMS IDENTIFIER --------------- -------- --------- ------- -----------------------3018 15:49:54 727 1445 3018-2-02-00-00-00-I-000 3021 17:03:00 1337 4126 3018-2-02-00-00-00-I-000 3293 17:27:57 961 3645 3018-2-02-00-00-00-I-000 3743 17:28:31 386 2166 3018-2-02-00-00-00-I-000 3742 17:29:21 1749 3420 3018-2-02-00-00-00-I-000 3537 17:31:14 1542 3438 3018-2-02-00-00-00-I-000 3536 17:32:43 2015 4408 3018-2-02-00-00-00-I-000 3027 21:34:28 1432 5119 3018-2-02-00-00-00-I-000 3755 21:35:33 2334 3515 3018-2-02-00-00-00-I-000 3754 22:10:34 3043 4744 3018-2-02-00-00-00-I-000 3747 22:13:22 3113 3915 3018-2-02-00-00-00-I-000 3298 22:16:32 4189 6081 3018-2-02-00-00-00-I-000 3548 22:17:57 1284 4474 3018-2-02-00-00-00-I-000 3746 22:23:58 1791 4474 3018-2-02-00-00-00-I-000 3029 22:27:46 3024 4513 3018-2-02-00-00-00-I-000 3756 22:31:29 2711 4576 3018-2-02-00-00-00-I-000 3028 00:47:02 2633 3245 3018-2-02-00-00-00-I-000 ---------------------------------------------------------------------------------------TOTALS: Number Entries: 68 Transit Total: 192162 Total # Items: 270272 30/OCT/2006 ANY BANK EIE Deadline Report EPU Pocket Table: 2 Appendix A: Report Samples End-of-Cycle Report Samples 357 Appendix A: Report Samples End-of-Cycle Report Samples SIE Deadline Report The following is a CPCS example. In this example: 358 ! there were four entries, each with a transit rehandle (pkt 5) and an EPU reject pocket (pkt 2) ! EPU reject pocket 02 was combo’d with the transit rehandle ! the transit rehandle from entry 0002 was stacked after the transit rehandle from entry 0001, at the ESU, and the SIE was called 0001-2-05-00-00-00-1-000 ! the transit rehandle from entry 0003 was stacked after the transit rehandle from entry 0004, at the ESU, and the SIE was called 0004-2-05-00-00-00-1-000 ImageMark Transaction Manager 4.2 System Administration 07:30:00 08:00:00 0001 0004 3000 3300 TRANSIT AMOUNT (000s) 12500 13000 0001-2-05-00-00-00-I-000 0004-2-05-00-00-00-I-000 IDENTIFIER Cycle: 1 09/Mar/2000 105: 05-00-00-00 EPU Pocket Table: 11 ********** On/Before After ********** Deadline: Transit Total: 6300 Deadline: Transit Total: 0 END OF REPORT 24:00:00 24:00:00 Total #Items: 25500 Total #Items: 0 ----------------------------------------------------------------------TOTALS: Number Entries: 4 Transit Total: 6300 Total #Items: 25500 SIE TIME HOST ENTRY Process Date: 09/Mar/2000 TOTAL #ITEMS 09/Mar/2000 NCR Training – Your Bank SIE Deadline Report Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 359 360 Number BTM Number of BTM Posting BTM of Debits Teller Branch Batch Date Amount Debits Unmatched ---------- ---------- --------- ----------- ----------- ------ --------WFF60420 8 50735 23/Sep/2002 $ 75,826.45 1 1 WFF60420 8 50734 23/Sep/2002 $ 1,908.66 10 10 WFF60420 8 50003 23/Sep/2002 $ 12,495.98 16 16 WFF60420 8 50002 23/Sep/2002 $ 20,130.62 3 3 --------------------------------------------------------------------------Subtotal $110,361.71 BTM Batches Not Received Report for Thursday November 14, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration BTM CPCS BTM Posting Posting BTM Teller Branch Batch Date Date Amount ---------- ---------- --------- ----------- ----------- ----------WFF60420 8 50065 12/Nov/2002 11/Nov/2002 $ 3,895.98 WFF60420 8 50064 12/Nov/2002 11/Nov/2002 $ 63,903.35 -----------------------------------------------------------------------Subtotal $ 67,799.33 Next Day BTM Batches Received Report for Thursday November 14, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 361 362 BTM BTM Customer BTM Posting BTM Item ID Teller Branch Batch Date Amount Number Number ---------- ---------- --------- ----------- ----------- ------ -------WFF60420 8 50080 23/Sep/2002 $ 2,339.96 Counter Check WFF60420 8 50080 23/Sep/2002 $ 22.14 Royal Development WFF60420 8 50080 23/Sep/2002 $ 16,721.00 SIT Trust WFF60420 8 50080 23/Sep/2002 $ 1,409.88 Bank of GSC WFF60420 8 50080 23/Sep/2002 $ 1,127.19 Personal Check WFF60420 8 50074 23/Sep/2002 $ 782.63 Personal Check WFF60420 8 50074 23/Sep/2002 $ 7,299.98 Bank of GSC WFF60420 8 50074 23/Sep/2002 $ 5,228.00 Bank of Marketing WFF60420 8 50074 23/Sep/2002 $ 37,883.50 WFF60420 8 50074 23/Sep/2002 $ 26,056.00 WFF60420 8 50074 23/Sep/2002 $ 2,066.72 Counter Check WFF60420 8 50074 23/Sep/2002 $ 1,643.00 Bank of Marketing WFF60420 8 50067 23/Sep/2002 $ 917.91 Personal Check WFF60420 8 50067 23/Sep/2002 $ 7,548.00 Bank of Marketing WFF60420 8 50067 23/Sep/2002 $ 44,168.50 WFF60420 8 50067 23/Sep/2002 $ 3,708.12 Counter Cheque WFF60420 8 50067 23/Sep/2002 $ 311.96 Cash In Ticket WFF60420 8 50067 23/Sep/2002 $ 2,322.90 Personal Cheque WFF60420 8 50067 23/Sep/2002 $ 18,526.00 WFF60420 8 50067 23/Sep/2002 $ 12,353.50 WFF60420 8 50067 23/Sep/2002 $ 1,229.71 Personal Check WFF60420 8 50067 23/Sep/2002 $ 1,220.96 Personal Check WFF60420 8 50067 23/Sep/2002 $ 1,051.93 Personal Check WFF60420 8 50061 23/Sep/2002 $ 10.25 Personal Check WFF60420 8 50061 23/Sep/2002 $ 1,017.42 Personal Check -----------------------------------------------------------------------------------Subtotal $196,967.16 Items Missing from BTM Batches Received Today Report for Thursday November 14, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration BTM CPCS BTM Customer BTM Posting Posting BTM Item ID Teller Branch Batch Date Date Amount Number Number ---------- ---------- --------- ----------- ----------- ----------- ------ ----------------WFF60420 8 50079 23/Sep/2002 11/Nov/2002 $ 2,579.20 Bank of GSC WFF60420 8 50079 23/Sep/2002 11/Nov/2002 $ 22.87 Royal Development WFF60420 8 50079 23/Sep/2002 11/Nov/2002 $ 1,966.42 Bank of GSC WFF60420 8 50073 23/Sep/2002 11/Nov/2002 $ 1,876.00 WFF60420 8 50073 23/Sep/2002 11/Nov/2002 $ 1,741.80 Personal Check WFF60420 8 50070 23/Sep/2002 11/Nov/2002 $ 1,455.75 Personal Check WFF60420 8 50070 23/Sep/2002 11/Nov/2002 $ 1,081.36 Bank of GSC WFF60420 8 50064 23/Sep/2002 11/Nov/2002 $ 51,991.00 WFF60420 8 50064 23/Sep/2002 11/Nov/2002 $ 4,234.00 Bank of Marketing WFF60420 8 50064 23/Sep/2002 11/Nov/2002 $ 208.11 Cash In Ticket --------------------------------------------------------------------------------------------------Subtotal $ 67,156.51 Items Received without BTM Batches Today Report for Thursday November 14, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 363 364 BTM BTM Customer BTM Posting BTM Item ID Teller Branch Batch Date Amount Number Number ---------- ---------- --------- ----------- ----------- ------ ----------------------WFF60420 8 50001 14/Nov/2002 $ 2,071.36 Personal Check WFF60420 8 50001 13/Nov/2002 $ 1,926.08 Personal Check WFF60420 8 50001 12/Nov/2002 $ 6,962.59 BTM Batch Ticket WFF60420 8 50001 23/Sep/2002 $ 94.81 Royal Development WFF60420 8 50001 23/Sep/2002 $ 846.34 Counter Withdrawal Slip WFF60420 8 50001 23/Sep/2002 $ 2,024.00 Bank of Marketing -------------------------------------------------------------------------------------------Subtotal $ 13,925.18 BTM Batches Aged Out Report for Thursday November 14, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Final Ranking ------3 1 1 Branch Number ------3 1 2 Number of Items Not Received ------1 1 0 Number of Batches Not Received ------2 0 2 Number of Teller Keying Errors ------5 5 5 Branch Rankings Report for Tuesday October 22, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 365 366 Final Ranking Across All Branches ------5 4 Number of Items Not Received ------0 1 Number of Batches Not Received ------0 0 Number of Teller Keying Errors ------3 2 Final Ranking Across All Branches ------6 2 1 Number of Items Not Received ------0 0 0 Number of Batches Not Received ------2 0 0 Number of Teller Keying Errors ------4 1 0 Teller Number ------302 301 Final Ranking Within Branch ------2 1 Final Ranking Across All Branches ------7 3 Number of Items Not Received ------1 0 Number of Batches Not Received ------1 1 Number of Teller Keying Errors ------4 1 Number of Force Matched Items Per Thousand Items ------125.00 0 Teller Ranking Report for Branch Number 3 for Tuesday October 22, 2002 Teller Number ------201 202 203 Final Ranking Within Branch ------3 2 1 Number of Force Matched Items Per Thousand Items ------0 0 0 Teller Ranking Report for Branch Number 2 for Tuesday October 22, 2002 Teller Number ------555 102 Final Ranking Within Branch ------2 1 Number of Force Matched Items Per Thousand Items ------333.33 0 Teller Ranking Report for Branch Number 1 for Tuesday October 22, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration 100 1 454229416 11/Oct/2001 29/Aug/2002 $ 70.00 asd;k 23423 Manual 222 ---------------------------------------------------------------------------------------------------------------------------------Subtotal $ 70.00 100 4 454229425 29/Aug/2002 29/Aug/2002 $ 5.00 234ab 324d Manual 888 ---------------------------------------------------------------------------------------------------------------------------------Subtotal $ 5.00 100 5 454229431 11/Oct/2001 29/Aug/2002 $ 70.00 asd;k 23423 Manual 222 ---------------------------------------------------------------------------------------------------------------------------------Subtotal $ 70.00 100 8 454229434 08/Feb/2002 29/Aug/2002 $ 11.00 asd;k 23423 Auto ---------------------------------------------------------------------------------------------------------------------------------Subtotal $ 11.00 100 9 454229435 08/Feb/2002 29/Aug/2002 $ 5.00 asd;k 23423 Auto ---------------------------------------------------------------------------------------------------------------------------------Subtotal $ 5.00 BTM CPCS BTM Custom BTM Posting Posting BTM Mismatch Operator Item ID Teller Branch Batch Date Date Amount DRN Type ID Number Number ---------- ---------- --------- ----------- ----------- ----------- -------------------- -------- -------- ------ -----100 10 454229436 08/Feb/2002 29/Aug/2002 $ 5.00 asd;k 23423 Manual 222 100 10 454229436 08/Feb/2002 29/Aug/2002 $ 7.00 asd;k 23423 Manual 222 ---------------------------------------------------------------------------------------------------------------------------------Subtotal $ 12.00 Incorrectly Matched Items Report for Friday October 25, 2002 Appendix A: Report Samples End-of-Cycle Report Samples 367 368 BTM CPCS BTM Customer BTM Posting Posting BTM Posted Item ID Teller Branch Batch Date Date Amount Amount Number Number ---------- ---------- --------- ----------- ----------- ----------- ----------- ------ -------101 1 454229696 08/Feb/2002 29/Aug/2002 $ 1.00 $ 1.01 102 1 454229696 11/Oct/2001 29/Aug/2002 $ 100.07 $ 100.06 ------------------------------------------------------------------------------------------------------100 2 454229313 29/Aug/2002 29/Aug/2002 $ 9.95 $ 10.00 200 2 454229313 29/Aug/2002 29/Aug/2002 $ 10.00 $ 9.95 ------------------------------------------------------------------------------------------------------100 3 454229439 07/Feb/2002 29/Aug/2002 $ 1.00 $ 2.00 101 3 454229439 07/Feb/2002 29/Aug/2002 $ 2.00 $ 1.00 ------------------------------------------------------------------------------------------------------100 4 454229437 07/Feb/2002 29/Aug/2002 $ 1.00 $ 2.00 101 4 454229437 07/Feb/2002 29/Aug/2002 $ 2.00 $ 1.00 ------------------------------------------------------------------------------------------------------100 5 454229444 07/Feb/2002 29/Aug/2002 $ 2.00 $ 1.00 100 5 454229444 08/Feb/2002 28/Aug/2002 $ 1.00 $ 2.00 101 5 454229444 07/Feb/2002 29/Aug/2002 $ 1.00 $ 2.00 101 5 454229444 08/Feb/2002 28/Aug/2002 $ 2.00 $ 1.00 ------------------------------------------------------------------------------------------------------100 6 454229421 07/Feb/2002 29/Aug/2002 $ 7.00 $ 2.00 101 6 454229421 07/Feb/2002 29/Aug/2002 $ 2.00 $ 7.00 ------------------------------------------------------------------------------------------------------- Teller Keying Errors Detail Report for Monday October 28, 2002 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Total R/T 123456 987654 … DRN 1234567890 1234567891 … Receiving Bank: %receiving_bank1 %receiving_bank2 %receiving_bank3 %receiving_bank4 %sending_bank1 %sending_bank2 %sending_bank3 %sending_bank4 Bundle List Report 1234567890 1000000000 … 9999999999 AMOUNT 1234567890 1234567891 … (%count) DRN Cycle Date: %cycle_date Station ID: %esustn 123456 987654 … R/T 1234567890 1000000000 … AMOUNT 1234567890 1234567891 … DRN Pocket: %spmode:%pocket_label Run: %run_date %run_time 123456 987654 … R/T 1234567890 1000000000 … AMOUNT Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 369 Appendix A: Report Samples End-of-Cycle Report Samples Note: The following example has been customized for BTM processing. BTM versions of the report list the BTM Batch number for each item under the following field heading: ! 370 BTM BATCH NO.: the BTM batch that the item belongs to ImageMark Transaction Manager 4.2 System Administration 9000000 238508000020 DB DB CR/DB/NP -------DB 2 2 ENTRY ----2 Cycle: 1 1 1 POCKET -----1 4 4 3890 PKT -------4 50001 50001 BTM BATCH NO. ------------50001 ********** END OF REPORT ********** -----------------------------------------------------------------------------------TOTALS CR: 0.00 DB: 180,000.00 NP: 0.00 Total # Items: 3 ------------------------------------------------------------------------------------ 6000000 AMOUNT -----------3000000 238508000017 DRN ------------238508000014 Posting Date: 26/Mar/2004 NCR Waterloo Unresolved Suspense Items Report 325219c c062-204d 22233343c 682 c168655 c352-001d c062-204d 22233343c 682 26/Mar/2004 Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 371 372 Merchant ---------------- - AMOUNT ------------0000911931 0000498996 0000498996 0000318500 0000250000 0000250000 0000232922 0000232922 ... Collecting Bank ---------------062385 062385 062385 062385 062385 062385 062385 062385 ... - Total Amount Total Items Total Fee ------------ ------------ -----------5172169 25 6500 1270929 25 6500 639408 25 6500 1992 25 6500 1321 25 6500 980 25 6500 642 25 6500 319 25 6500 37 11 2860 ======================================== 7087797 211 54860 CBA_CHEQUE QLD CBA Branch Merchant Summary Report 1 Posting Date: 11/Aug/2005 Page 10 Posting Date: 11/Aug/2005 Page 438050018071 0000071830 062385 438050018011 0000069000 062385 ================================================================ 5172169 (25) DRN ------------438050018010 438050018041 438050018097 438050018015 438050018109 438050018053 438050018112 438050018056 ... CBA_CHEQUE QLD CBA Branch Merchant Summary Report Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration 77842 229530 405077 6000 367946 296851 08000512 08000542 08000076 08000098 08000099 08000223 CR CR DB CR CR CR CR/DB/NP -------CR 1 1 1 1 3 3 ENTRY ----1 7 7 5 5 4 4 POCKET -----4 Cycle: 1 30/Aug/1999 c009577c c009953c c02770376c d612222001d0460- d612222001d0075- c c d161000017d0074-01031188 c d161000017d0052-01372738 c d161000017d d161000017d d161000017d Page 1 96 96 96 96 96 96 ********** END OF REPORT ********** ---------------------------------------------------------------------------------------------------------------------------------TOTALS CR: 14,772.46 DB: 60.00 NP: 0.00 Total # Items: 7 ---------------------------------------------------------------------------------------------------------------------------------- AMOUNT ---------100000 DRN ------------08000130 Process Date: 29/Aug/1999 NCR Training Research Items - Exception Items in Kill Pocket Report Appendix A: Report Samples End-of-Cycle Report Samples 373 374 BANK ACCOUNT TRNCOD AMOUNT --------- -------------- ------ ---------161000017 61221296 96 564797 161000017 61221296 96 5252432316 Page 1 26/Oct/2004 Cycle:1 ********** END OF REPORT ********** DRN Block Batch ------------- ---------- -----------4000000167 00000112 57 4000000167 00000112 57 4000000189 00000112 57 26/Oct/2004 Page 2 SERIAL BANK ACCOUNT TRNCOD AMOUNT CHG Data Before Data After ------ --------- -------------- ------ ---------- --- --------------- ----------004721 161000017 054803428528 96 661177 1 0000019999 661177 161000017 054803428528 96 1000 17 10 1000 560320 161000017 021902647605 0000143299 12 Entry Number = 20 DRN Block Batch SERIAL BANK ACCOUNT TRNCOD AMOUNT ------------- ---------- ------------ ------ --------- -------------- ------ ---------4000000167 00000112 57 004721 161000017 61221296 96 804829 NCR Training Forced Adjustment Report DRN Block Batch SERIAL BANK ACCOUNT TRNCOD AMOUNT CHG Data Before Data After ------------- ---------- ------------ ------ --------- -------------- ------ ---------- --- ---------------- ---------4000000021 00003336 00333336 123457 1610-0001 222222226 96 822708 1 0000258911 822708 4000000083 4 00333331 160000513 048306400926 1000 1 5252500550 1000 4000000059 4 00333334 161000017 61211297 68234 17 21 68234 SERIAL -----123457 123458 Cycle:1 PSet Number = 1 Entry Number = 11 DRN Block Batch ------------- ---------- -----------4000000021 00003336 00333336 4000000059 4 00333334 NCR Training Forced Adjustment Report Oper ---1 1 1 Oper ---1 1 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Image Quality Failure Detail Report Page 1 22/Mar/2006 Posting Date 17/Mar/2006 Vendor ----------------NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR Test Binary Thres Thres Test Type Num Face /Gray Score hold1 hold2 Result ----------------- ---- ----- ------ ---------------------------------- ------- ------- -----HUMAN 1 Rear Binary 1 -GETFILENAMERR -1 -1 Fail QUALITY 0 Front Binary 0 0 -1 Pass QUALITY 0 Rear Binary 0 0 -1 Pass QUALITY 1 Front Binary 0 20 -1 Pass QUALITY 1 Rear Binary 0 20 -1 Pass QUALITY 2 Front Binary 0 -1 -1 Pass QUALITY 2 Rear Binary 0 -1 -1 Pass QUALITY 3 Front Binary 0 3 -1 Pass QUALITY 3 Rear Binary 0 3 -1 Pass QUALITY 5 Front Binary 0 20 -1 Pass QUALITY 5 Rear Binary 0 20 -1 Pass QUALITY 6 Front Binary 5377 1000 5000 Pass QUALITY 6 Rear Binary 1016 1000 5000 Pass QUALITY 7 Front Binary 5377 100000 100000 Pass QUALITY 7 Rear Binary 1016 100000 100000 Pass QUALITY 9 Front Binary 0 20 -1 Pass QUALITY 9 Rear Binary 0 20 -1 Pass QUALITY 10 Front Binary 0 12 -1 Pass QUALITY 10 Rear Binary 0 12 -1 Pass QUALITY 11 Front Binary 0 12 -1 Pass QUALITY 11 Rear Binary 0 12 -1 Pass QUALITY 12 Front Binary 160 260 -1 Pass QUALITY 12 Rear Binary 160 260 -1 Pass QUALITY 13 Front Binary 160 140 -1 Pass QUALITY 13 Rear Binary 160 140 -1 Pass QUALITY 14 Front Binary 70 105 -1 Pass QUALITY 14 Rear Binary 70 105 -1 Pass QUALITY 15 Front Binary 70 55 -1 Pass QUALITY 15 Rear Binary 70 55 -1 Pass QUALITY 16 Rear Binary 1 2 -1 Fail Codeline -------------------------------------------------------------------------------------------------d1000-0010d 2222236c 123 b0000010048b Transport DRN Number BANK ACCOUNT ----------------------- ------------ --------- -------------03170606641100179479 11 1000-0010 2222236 IQA SMCR Training Cycle: 3 Pset Number: 2 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 375 376 Vendor ---------------NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR NCR Training Cycle: 3 Pset Number: 2 Test Type Num Test Description ---------------- ----- -------------------------------HUMAN 0 Regular Operator Review HUMAN 0 Regular Operator Review HUMAN 0 Regular Operator Review HUMAN 0 Regular Operator Review HUMAN 1 Expert Operator Review HUMAN 1 Expert Operator Review HUMAN 1 Expert Operator Review HUMAN 1 Expert Operator Review IMAGEMARK 0 Generic Image Quality Test IMAGEMARK 0 Generic Image Quality Test IMAGEMARK 0 Generic Image Quality Test IMAGEMARK 0 Generic Image Quality Test QUALITY 0 Partial Image QUALITY 0 Partial Image QUALITY 0 Partial Image QUALITY 0 Partial Image QUALITY 1 Excess Skew QUALITY 1 Excess Skew QUALITY 1 Excess Skew QUALITY 1 Excess Skew QUALITY 2 Piggy Back QUALITY 2 Piggy Back QUALITY 2 Piggy Back QUALITY 2 Piggy Back QUALITY 3 Streaks QUALITY 3 Streaks QUALITY 3 Streaks QUALITY 3 Streaks QUALITY 5 Bent Corner QUALITY 5 Bent Corner QUALITY 5 Bent Corner QUALITY 5 Bent Corner QUALITY 6 Img Too Small QUALITY 6 Img Too Small Face ----Rear Front Front Rear Front Rear Rear Front Front Rear Rear Front Rear Front Front Rear Front Front Rear Rear Front Rear Front Rear Rear Front Rear Front Front Rear Front Rear Front Rear Binary/ #Passed Gray Images -------- ------Gray 0 Binary 31 Gray 0 Binary 26 Gray 0 Gray 0 Binary 0 Binary 0 Binary 0 Gray 0 Binary 0 Gray 0 Gray 0 Binary 167 Gray 0 Binary 167 Binary 167 Gray 0 Gray 0 Binary 167 Gray 0 Binary 167 Binary 167 Gray 0 Binary 167 Binary 167 Gray 0 Gray 0 Binary 167 Gray 0 Gray 0 Binary 165 Gray 0 Binary 129 Image Quality Test Performance Summary Report #Passed #Failed Images Images Rejected/ #Failed Rejected/ Reimaged Images Reimaged ---------- ------- ---------0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 44 44 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 70 0 0 0 0 0 70 0 0 70 0 0 0 0 0 0 0 0 70 0 0 0 0 0 70 0 0 70 0 0 0 0 0 70 0 0 70 0 0 0 0 0 0 0 0 70 0 0 0 0 0 0 0 0 69 2 1 0 0 0 43 38 27 22/Mar/2006 Posting Date: 17/Mar/2006 Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Station Number ------11 ------Total 1 # Captured Items ---------39 ---------39 NCR Training Cycle: 3 Pset Number: # Reviewed ---------13 ---------13 Page 1 # Reimaged/ Rejected %Reviewed ---------- ----------0 33.33% ---------- ----------0 33.33% %Reimaged/ Rejected ----------0.00% ----------0.00% 22/Mar/2006 Posting Date:17/Mar/2006 Image Quality Transport Performance Summary Report Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 377 378 Host Sequence ----------0014200001 0014617907 END OF REPORT ********** EX -66 66 ******* Type ---2 2 16/Apr/2003 Posting Date ----------18/Oct/2002 18/Oct/2002 ANY BANK Items Aged Out Report SERIAL -----53750 30035 TRANSIT --------43750 43750 Source: 00 ACCOUNT -------------38264285 81454322 AMOUNT -----23750 61096 GROUP ----90594 90594 File: /opt/siips/classa/anybank Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration ********** Posting Date ----------07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 07/Feb/2002 NCR Training END OF REPORT 000110 000158 000166 000181 000198 000206 000230 000242 000256 000274 000285 000313 000315 000343 000345 000347 000355 000372 000376 000383 Host Sequence ----------EX -0 0 0 ** ** ** ** ** ** ** ** ** ** ** ** ** ** ** ** ** ** ** ** SERIAL -----0 0 0 000110 000158 000166 000181 000198 000206 000230 000242 000256 000274 000285 000313 000315 000343 000345 000347 000355 000372 000376 000383 ********** Type ---5 5 5 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 13/Jun/2002 Items Not Received Report BANK --------0 159955 0 Source: 00 ACCOUNT -------------0 2 0 ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** ************** TRNCOD -----446533 ****** ****** AMOUNT ---------7 32 45 116000 600 4321810 4000 6000 17000 16612 3000 23534 99300 18000 84713 4600 99500 180941 22145 133800 5000 16000 1100 GROUP ---------------------50144 NJ119 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 NJ131 File: /opt/siips/classa/secondsourcedata/smm20020612.nj.smm Appendix A: Report Samples End-of-Cycle Report Samples 379 380 113535 017699 001278 ****** 005971 001289 SERIAL -----007979 007947 005618 050750 050733 050767 ****** ****** 003911 0166 AMOUNT ---------16857 5673 20550 4638 4072 3980 5333 52721 6891 20000 2500 27745 69925 12665 150000 22333 Items Pull Report - High Dollar ACCOUNT -------------13145466 13145466 13915796 13266004 13266004 13266004 13775436 07017245 13327274 13145609 14111640 14474552 14659154 07000217 12647177 14659154 Host Entry: 3741 ANY BANK TRANSIT --------061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 061000010 TRNCOD ------ Items Pull Report - High Dollar Host Entry: 3741 ANY BANK Entry: 3741 Tray Number ----------1701638 1701638 1701638 1701638 1701638 1701638 1701638 1701639 1701638 1701638 1701639 1701638 1701638 1701639 1701638 1701638 Entry: 3741 Tray Sequence ------------1.0000 2.0000 5.0000 6.0000 7.0000 8.0000 10.0000 1.0000 19.0000 23.0000 2.0000 186.0000 187.0000 27.0000 190.0000 191.0000 Page 69 Page 1 ********** END OF REPORT ********** Total Name TotalItems Total Amount TotalDRCnt Total Debits TotalCRCnt Total Credits TotNPDebits TotNPCredi ------------------------------ ---------- -------------- ---------- ------------- ---------- ------------- ----------- ---------CTL_RECID_B0_DR 0 0 0 0 0 0 0 RECID_90_DR 2835 218698837 2835 218698837 0 0 0 CTL_RECID_B2_DR 7 0 0 0 0 0 0 CTL_RECID_B3_DR 50 0 0 0 0 0 0 CTL_RECID_B4_DR 2 0 0 0 0 0 0 CTL_RECID_B5_DR 45 324271671 0 0 0 0 0 RECID_02_DR 491 48501352 491 48501352 0 0 0 ================================================================================================================================= Grand Total: 3430 591471860 3326 267200189 0 0 0 Cycle: 1 DRN EX ------------- -74139744 66 74139745 66 74139760 66 74139766 66 74139767 66 74139768 66 74139772 66 74139881 66 74139882 66 74139894 66 74139914 66 74141105 66 74141107 66 74141108 66 74141116 66 74141117 66 . . . Date: 16/Apr/2003 RECID_02_DR Cycle: 1 Date: 16/Apr/2003 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ********** --------8000 8000 20894 END OF REPORT ********** Total Amount: 36894 -----------3100000114 3100000116 3100000119 -----123 123 123 -------2259 2260 2263 11/Feb/2004 -----1 2 2 -----------3100000112 3100000115 3100000115 --------5990-1364 5990-1364 5990-1364 Deposit Information: DRN R/T Page 1 Total # Items: 3 -------------------Stale Date Missing Signature Missing Signature Non-Negotiable Item: Amount Reason Reason Code DRN Advice Notice: Branch Advice # Ref # Cycle: 3 NCR Training Deposit Review Non-Negotiable Items Report Location Information: Tray # Entry Host # Entry # ---------- --------- ----- ----4091064893 11996 5061 5061 4220212063 11996 5061 5061 4220212063 11996 5061 5061 Account ---YES* YES* YES* EPU Kill Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 381 382 Transit: Transit: Grand Total: 123456789 9876-5490 R/T Sub-Total: 1234567890 1234567891 DRN %gtamount %tamount 1234567890 1000000000 AMOUNT (%gtcount) Onus DB: %gdamount %T %T (%gdcount) (%dcount) 1234567890 1000000000 AMOUNT %damount 123456789 9876-5490 R/T Onus DB: 1234567890 1234567891 (%tcount) %T %T DRN Onus CR: Onus CR: 1234567890 1234567891 DRN %gcamount %camount 123456789 9876-5490 R/T (%gccount) (%ccount) 1234567890 1000000000 AMOUNT %T %T Page %page % MultiBankName Cycle: %cycle Cycle Date: %cycle_date ESU Pocket::%pkt_label Endpoint ID: %endpoint_id ESU Station ID: %esustn ESU Run: %tray_set_date %tray_set_time Routing Information: % routing_info1 % routing_info2 % routing_info3 % routing_info4 From Entry(s): 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, 9999, ..., 9999 Pocket Listing Report Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Total Proof Items ------56,859 81,357 49,957 59,607 92,360 -------0.00% 0.00% 0.00% 0.02% 0.00% Items Shuffled Items Reco Processed --------90.83% 91.50% 91.85% 92.00% 90.90% 30/Aug/1999 AMOUNT RSS Assigned -------64.64% 66.72% 65.04% 66.32% 62.67% AMOUNT Force Keyed ------6.39% 5.62% 5.21% 4.86% 6.64% AMOUNT RSS Only ------53.34% 54.60% 53.62% 54.79% 51.45% AMOUNT EPU Only ------0.00% 0.16% 0.00% 0.00% 0.00% ------56.70% 58.50% 56.61% 57.50% 54.16% AMOUNT KLD Page 1 ********** END OF REPORT ********** A station marked with an * indicates some data may be lost due to abnormal termination of RSS CAR/CAV Auto-Role. --------------------------------Recognition 1/Data Server 1 Recognition 1/Data Server 2 Recognition 1/Data Server 3 Recognition 1/Data Server 4 Recognition 1/Data Server 5 Recognition Station NCR BANK RSS Performance Summary Report Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 383 384 Cum. Number of Fields Misread ----------85,545 Cum. Number of Fields Rejected ----------51,575 361 1,224 45 2,163 1,697 156 10 20 49 30 4,293 282 281 464 Number of Fields Misread ----------35 4 Cum. Number of Items Failed Rec ----------- 629 1,241 276 3,782 2,583 672 12 27 233 48 799 167 449 572 2 Number of Fields Rejected ----------1 6 21/Oct/2002 Cum. Number of Items with Prior Data ----------5,287 Number of Items Failed Rec ----------- 73 152 1 1 241 420 130 1 5 9 5 Number of Items with Prior Data ----------- Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. Cum. Number of Fields Read -------------- ----------468,390 325,983 Cum. Number of Items Number of Fields Read -------- ------ ----------- ----------50 1 83 47 51 1 141 131 73 1 3 3 88 1 2,503 1,513 95 1 6,744 4,279 105 1 332 10 106 1 23,267 17,081 107 1 30,668 25,968 108 1 1,661 703 109 1 128 105 110 1 259 207 120 1 375 84 121 1 350 267 204 1 9,002 3,910 205 1 590 141 206 1 3,418 2,615 207 1 7,919 6,731 209 1 6 3 RSS Dist Field Number of Number Items RSS Station: Recognition 1/Data Server 1 ANY BANK CAR Performance Summary Report Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 1 ImageMark Transaction Manager 4.2 System Administration Cum. No. of Items Comb’d to Deposit Slip ------- Cum. No. of Items Comb’d with Second Source ------1933 Cum. No. of Items accp’d without Second Source ------1933 Cum. No. of Items Accp’d No. of No. of No. of Items Field Items Misread Rejects Force Key Rej’d ------5287 Cum. No. of Items with ------- ------- ------- ------61,697 2,649 29,763 2,201 62,975 2,322 27,356 3,080 60,413 2,211 23,515 2,824 72,239 2,881 30,628 3,128 22,323 1,021 11,011 1,165 No. of Items Accp’d by CAV Cum. No. of Field Rejects Key Rej’d No. of Items Accp’d without Second Source ------97,024 96,343 90,189 108,748 35,328 Cum. No. of Items Misread No. of Items accp’d with Second Source ------342 508 421 449 213 Cum. No. of Items Force Prior Data in Field ------- ------- ------- ------- ------466457 282396 13711 154598 12398 Cum. No. of Items Accp’d by CAV No. of Items Comb’d to Deposit Slip ------342 508 421 449 213 21/Oct/2002 No. of Items with Prior Data in Field ------1,056 1,118 1,647 321 21 Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. Cum. No. of Items Procs’d with Add Tape --------468390 No. of No. of Items Items Procs’d Comb’d with Add Tape ------------------- ------- ------Recognit/Data Ser 97,366 Recognit/Data Ser 96,851 Recognit/Data Ser 90,610 Recognit/Data Ser 109,197 Recognit/Data Ser 35,541 Recognition Station Field Number: ANY BANK CAV Performance Summary Report Appendix A: Report Samples End-of-Cycle Report Samples 385 386 Subtotal Total Debits Total Debits Number of Number of Credit Debit Credits Debits Accuracy Accuracy Reclassified Reclassified --------- --------- -------------- -------------- ---------- ---------4,096 4,092 48 48 1.17% 98.83% Total Credits Total Credits 18/JUL/2003 Number of Number of Credit Debit Credits Debits Accuracy Accuracy Reclassified Reclassified ------- --------- --------- -------------- -------------- ---------- ---------1000 20 0 0 0 0.00% 100.00% 1001 0 16 0 0 100.00% 100.00% 1002 4 4 0 0 0.00% 100.00% 1003 4 4 4 4 100.00% 0.00% 1004 8 8 4 4 50.00% 50.00% 1005 12 12 8 8 66.67% 33.33% 1006 16 16 4 4 25.00% 75.00% 1007 16 16 12 12 75.00% 25.00% 1008 16 16 16 16 100.00% 0.00% 1009 4,000 4,000 0 0 0.00% 100.00% 1010 0 0 0 0 100.00% 100.00% 1011 0 0 0 0 100.00% 100.00% 1012 0 0 0 0 100.00% 100.00% 1013 0 0 0 0 100.00% 100.00% 1014 0 0 0 0 100.00% 100.00% 1015 0 0 0 0 100.00% 100.00% 1016 0 0 0 0 100.00% 100.00% 1017 0 0 0 0 100.00% 100.00% 1018 0 0 0 0 100.00% 100.00% 1019 0 0 0 0 100.00% 100.00% 1020 0 0 0 0 100.00% 100.00% 1021 0 0 0 0 100.00% 100.00% 1022 0 0 0 0 100.00% 100.00% 1023 0 0 0 0 100.00% 100.00% RSS Dist. RSS Station: Recognition 1 / Data Server 1 NCR Bank RSS Reclassification Report Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ins ri 4 4 DRN 8800101948 8800101950 8800101956 8800101958 Cycle #### Entry #### Batch #### Date: 06-06-2006 16:44 Codeline c062-204d 22233343c 682 c168655 c352-001d 325219c c062-204d 27784893c 682 c062-204d 27789993c 682 Pocket Number 1 1 1 1 RIR Document Distribution Tray Number 10000017 10000020 10000017 10000017 Tray Sequence 0014200001 0014300004 0014200001 0014200001 PSET # - <Pset Name> Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration 387 388 Total Records Matched To Items % (vol) ---------------0.0% ( 0) 100.0% ( 1) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 100.0% ( 1) 100.0% ( 1) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 100.0% ( 1) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 26/Jan/2001 ----------------------------------- --------Reject Mixed Batch Header 2 Reject Mixed Batch Header 1 Reject Debit-Only Batch Header 1 Reject Debit-Only Batch Header 2 Reject Debit-Only Batch Header 1 Reject Credit-Only Batch Header 1 Reject Credit-Only Batch Header 1 Reject Credit-Only Batch Header 1 Reject Credit-Only Batch Header 1 Reject Credit-Only Batch Header 1 Tray Header 1 Tray Header 1 Tray Header 1 Block Trailer 1 Block Trailer 1 Block Header 1 Classification NCR Training Second Source Posting Date: 12/Dec/1995 Second Source Match and Merge Performance Summary Report Not Matched To Items % (vol) ---------------100.0% ( 2) 0.0% ( 0) 100.0% ( 1) 100.0% ( 2) 100.0% ( 1) 100.0% ( 1) 0.0% ( 0) 0.0% ( 0) 100.0% ( 1) 100.0% ( 1) 100.0% ( 1) 0.0% ( 0) 100.0% ( 1) 100.0% ( 1) 100.0% ( 1) 100.0% ( 1) Matched To Deposit Slips % (vol) ---------------0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) Forced Matches % (vol) ---------------0.0% ( 0) 0.0% ( 0) 100.0% ( 1) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 0.0% ( 0) 100.0% ( 1) 0.0% ( 0) 0.0% ( 0) 100.0% ( 1) Page 1 Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration EXCEPTION --------- 30/Aug/1999 15200 300000 AMOUNT ---------6000 AMOUNT ---------- NO NO ON-US ----NO AMOUNT ---------39000 Host Entry: 3 30/Aug/1999 ON-US ----NO Host Entry: 2 NO NO NO ON-US ----NO Host Entry: 1 30/Aug/1999 FROM ENTRY ---------- CR/DB/NP -------DB Operator: 222 Tray: 1000000060 Operator: 222 Page 3 d161000075d0051-03870321 c 1738 Operator: 222 d161000017d0247-02351639 c d141000011d0053-01820702 c RECONCILED TRAY --------------1000000054 d161000075d0043-01608908 c 1254 c00001328c FROM ENTRY ---------- Tray: 1000000052 Page 2 d161000075d0043-01608908 c 1254 RECONCILED TRAY --------------- Entry: 0003-03-01-00-00-00 CR/DB/NP -------- Tray: 329 Page 1 RECONCILED TRAY --------------1000000038 d161000075d0051-03870321 c 1738 1000000039 c00001328c d141000011d0053-01820702 c 1000000039 d141000011d0103-07010018 c FROM ENTRY ---------- Entry: 0002-03-01-00-00-00 DB DB CR/DB/NP -------DB Entry: 0001-03-01-00-00-00 =================================================================================================== 0108299908000551 TRUFRE DRN -------------------0108299908000551 0108299908000551 EXCEPTION --------- TRUFRE MATCH -----TRUMIS Process Date: 29/Aug/1999 NCR Training Cycle: 1 DRN -------------------0108299908000299 Truly Missing and Free Report MATCH -----TRUFRE Process Date: 29/Aug/1999 NCR Training Cycle: 1 0108299908000075 TRUFRE Truly Missing and Free Report 0108299908000127 TRUMIS DRN -------------------0108299908000075 0108299908000077 EXCEPTION --------- Cycle: 1 TRUMIS MATCH -----TRUMIS Process Date: 29/Aug/1999 NCR Training Truly Missing and Free Report Appendix A: Report Samples End-of-Cycle Report Samples 389 390 Permissions: Amount Keying EPU Image Capture -------------------------------------------------------------------------------Operator Name: IDT Fullname (ourbank idt operator) Operator Number: 911 Date of Last Login: 09/01/2005 Date of Password Change: 03/19/2003 Permissions: Codeline Completion -------------------------------------------------------------------------------Operator Name: Grant Doe (Grant) Operator Number: 555 Date of Last Login: 04/24/2003 Date of Password Change: 03/20/2003 Permissions: Amount Keying EPU Image Capture -------------------------------------------------------------------------------Work Group Name: User Work Group Work Group Number: 2 -------------------------------------------------------Operator Name: EPU operator (epsuop) Operator Number: 222 Date of Last Login: 05/07/2004 Date of Password Change: 10/20/2003 Permissions: EPU Image Capture ESU Encode & Sort Amount Keying EPU Image Capture Codeline Completion -------------------------------------------------------------------------------Operator Name: IDT user 4 (idt04) Operator Number: 4 Date of Last Login: 03/28/2005 Date of Password Change: 03/28/2005 Operator Number: 0 09/23/2005 07/04/2001 User Permission and Login Information Report Application Type: OurBank ---------------------------------------Work Group Name: Administration Work Group Number: 0 -------------------------------------------------------Operator Name: ImageMark TM Base User (cp180400) Date of Last Login: Date of Password Change: Print date: Appendix A: Report Samples End-of-Cycle Report Samples ImageMark Transaction Manager 4.2 System Administration Appendix A: Report Samples Operator Performance Report Samples Operator Performance Report Samples This section contains samples of all printable Operator Performance reports. This includes the following: ! ECU Transport Performance report ! EPU and ESU Transport Performance Statistics reports ! EPU Transport Sessions Performance report ! ESU Transport Sessions Performance report Note: The EPU and ESU Transport Performance Summary reports show the same information as the EPU and ESU Transport Sessions Performance reports, but accumulate the data across all sessions of all transports in the system ! Image Quality Review Performance Summary report ! Operator Statistics reports ! ! Operator Sessions Activity report ! Operator Performance Summary report ! Operator Performance Detail report ! Grand Total Performance report Resource Allocation report ImageMark Transaction Manager 4.2 System Administration 391 392 Batch Seq. No. ----1 1 ----------12/Dec/2001 12/Dec/2001 Start Date -------00:00:10 00:00:10 Start Time -------00:00:11 00:00:11 Stop Time ------99 99 No. Jams Start Seq. No. -----1 1 Operator: 2 End Seq. No. -----1 1 --------9,999 9,999 No. Items 10/21/2002 ------1 1 No. Rejects No. Unknown Items ------9,999 9,999 Items Per Min ----0 0 Rejct Rate % ----0.01 0.01 Page 1 Batch Seq. No. ----1 ----------12/Dec/2001 Start Date -------00:00:10 Start Time -------00:00:11 Stop Time ------9,999 No. Jams Start Seq. No. -----999999 Operator: 2 End Seq. No. -----999999 --------9,999 No. Items 10/21/2002 ------1 No. Rejects No. Unknown Items ------9,999 Items Per Min ----0 Rejct Rate % ----0.01 Page 2 --1 Run No. Batch Seq. No. ----1 ----------12/Dec/2001 Start Date Banking Center: 8888 Station: 4 -------00:00:01 Start Time ECU Transport Performance Report -------00:00:01 Stop Time ------8,888 No. Jams Start Seq. No. -----888888 Operator: 2 End Seq. No. -----88 --------8,888 No. Items 10/21/2002 ------1 No. Rejects No. Unknown Items ------8,888 Items Per Min ----0 Rejct Rate % ----0.01 Page 3 ================================================================================================================ 9,999 999999 999999 9,999 1 9,999 0 0.01 --1 Run No. Banking Center: 9999 Station: 3 ECU Transport Performance Report ================================================================================================================ 198 1 1 19,998 2 19,998 0 0.01 --1 1 Run No. Banking Center: 99 Station: 2 ECU Transport Performance Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration Session End Time 127 Session Run Time Total No. Items ImageMark Transaction Manager 4.2 System Administration Session End Time Total No. Items Session Run Time Total No. Items Session Start Time Station: Session End Time 127 Session Run Time Total No. Items Downtime from Transport Failures Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour No. of Other Transport Failures No. of Other Transport Failures Downtime from Transport Failures Downtime from Transport Failures Downtime from Transport Failures -------- -------- ----3,182 No. of No. of No. o Rejected Fields Field Images Rejected Misre 150 -------- -------- ----2,858 No. of No. of No. o Rejected Fields Field Images Rejected Misre -------- -------- ----1,062 No. of No. of No. o Rejected Fields Field Images Rejected Misre Page 1 Average No. of No. of No. o Downtime Rejected Fields Field from Images Rejected Misre Transport Failures Average Downtime from Transport Failures --------- --------- --------- --------- --------00:54:38 00:00:08 00:00:00 00:00:00 Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour No. of Other Transport Failures Average Downtime from Transport Failures --------- --------- --------- --------- --------01:03:24 00:00:11 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:03:54 00:00:04 00:00:00 00:00:00 Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour ---------- -------- -------- -------06:30:24 100,600 15,461 344 00:15:11 00:56:16 4,821 5,141 48 Session Run Time -------- -------- ---------- -------- -------- -------13:02:59 22:13:05 09:08:17 104,937 11,484 365 Session Start Time 127 -------20:32:54 20:50:04 21:54:46 -------12:58:37 20:34:53 20:57:46 Station: Session End Time 127 Session Start Time Station: No. of Other Transport Failures Average Downtime from Transport Failures --------- --------- --------- --------- --------00:11:42 00:00:07 00:00:00 00:00:00 Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour 01/Jan/2003 to 02/Feb/2003 -------- -------- ---------- -------- -------- -------13:04:49 20:15:48 07:07:28 37,947 5,326 94 Session Start Time Station: ANY BANK EPU Transport Sessions Performance Report Appendix A: Report Samples Operator Performance Report Samples 393 394 Session End Time 026 Session Run Time Session End Time 029 Session Run Time Session End Time 029 Session Run Time Session End Time 039 Session Run Time -------- -------- ---------16:07:21 23:29:09 04:46:16 Session Start Time Station: -------- -------- ---------16:33:56 00:31:28 05:11:34 Session Start Time Station: -------- -------- ---------15:36:43 00:26:46 07:30:47 Session Start Time Station: -------- -------- ---------20:47:44 00:26:00 03:16:00 Session Start Time Station: ANY BANK No. of Other Transport Failures Downtime from Transport Failures Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour No. of Other Transport Failures No. of Other Transport Failures Downtime from Transport Failures Downtime from Transport Failures Downtime from Transport Failures Average Downtime from Transport Failures -------- -------- --------- --------- --------- --------- --------- --------40,631 8,516 222 00:25:54 00:00:07 00:00:00 00:00:00 Total No. Items Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour No. of Other Transport Failures Average Downtime from Transport Failures -------- -------- --------- --------- --------- --------- --------- --------35,561 6,848 176 00:43:17 00:00:14 00:00:00 00:00:00 Total No. Items Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour Average Downtime from Transport Failures -------- -------- --------- --------- --------- --------- --------- --------34,500 4,592 295 00:49:16 00:00:10 00:00:00 00:00:00 Total No. Items Average No. of Downtime Average No. of Transport from Jams Downtime Items Jams from Jams per hour 01/Jan/2003 to 02/Feb/2003 Average Downtime from Transport Failures -------- -------- --------- --------- --------- --------- --------- --------22,276 6,819 223 00:24:17 00:00:06 00:00:00 00:00:00 Total No. Items ESU Transport Sessions Performance Report --------- No. of MICR Verify Errors --------- No. of MICR Verify Errors --------- No. of MICR Verify Errors --------- No. of MICR Verify Errors Page 1 Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration Avg. Hourly Rate Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. Total No. Images (keyers) 15/Feb/2006 to 22/Feb/2006 Total No. Images Rejected -------- ---------- ------- ------- --------9 00:01:54 9 284.2 7 919 00:16:40 85 306.0 8 Operator Action Number Time Activity: Image Quality Review Wells Fargo Bank Image Quality Review Performance Summary Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration 395 396 Session End Time -------13:14:17 11:58:10 11:58:36 13:41:00 14:25:52 16:29:45 16:31:00 16:36:31 Session End Time -------11:54:54 -------00:41:13 Session Duration -------00:00:05 00:44:44 00:00:22 00:00:52 00:00:05 00:06:43 00:01:14 00:05:29 Session Duration Session Start Time ---------11:10:59 11:15:16 15:26:59 * 15:28:49 15:37:38 16:46:48 * 16:52:34 16:58:01 * Session End Time -------11:14:18 11:17:14 15:27:26 15:32:04 16:08:00 16:51:26 16:56:28 17:12:17 -------00:03:19 00:01:58 00:00:27 00:03:15 00:30:22 00:04:38 00:03:54 00:14:16 Session Duration Station: scaw-podbuild Session Start Time ---------11:13:41 Station: idt060-2 Session Start Time ---------13:14:12 11:13:26 * 11:58:14 13:40:08 14:25:47 16:23:02 16:29:46 16:31:02 Station: IDT060 NCR Training Lost Action Time -------00:00:00 00:12:35 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 Wait For Work Time -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 Lost Action Time -------00:00:00 Wait For Work Time -------00:00:00 Session Action Time -------00:03:16 00:01:47 00:00:27 00:02:14 00:28:01 00:01:08 00:03:47 00:00:21 Lost Action Time -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:03:11 00:00:00 00:13:14 Wait For Work Time -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 Activity: Block Balancing Session Action Time -------00:39:31 Activity: Block Balancing Session Action Time -------00:00:03 00:30:54 00:00:16 00:00:03 00:00:03 00:06:42 00:01:12 00:05:27 Activity: Block Balancing Block Balancing Operator Sessions Activity Report Total Suspend Duration -------- Total Suspend Duration -------- -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 System Overhead Total Suspend Duration -------- Operator: 1 -------00:00:18 System Overhead Operator: 1 -------00:00:00 00:00:16 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 System Overhead Operator: 1 Suspend Start Time -------- Suspend Start Time -------- Suspend Start Time -------- 22/Oct/2004 to 26/Oct/2004 (Administration) -------- Suspend Duration -------- Suspend Duration -------- Suspend Duration ----------- Reason ----------- Reason ----------- Reason Page 1 Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration Session End Time -------13:14:17 11:58:10 11:58:36 13:41:00 14:25:52 16:29:45 16:31:00 16:36:31 ImageMark Transaction Manager 4.2 System Administration Session End Time -------11:54:54 -------00:41:13 Session Duration -------00:00:05 00:44:44 00:00:22 00:00:52 00:00:05 00:06:43 00:01:14 00:05:29 Session Duration Session Start Time ---------11:10:59 11:15:16 15:26:59 * 15:28:49 15:37:38 16:46:48 * 16:52:34 16:58:01 * 17:16:03 * 17:32:29 * 18:31:20 * Session End Time -------11:14:18 11:17:14 15:27:26 15:32:04 16:08:00 16:51:26 16:56:28 17:12:17 17:32:19 17:40:53 18:32:37 -------00:03:19 00:01:58 00:00:27 00:03:15 00:30:22 00:04:38 00:03:54 00:14:16 00:16:16 00:08:24 00:01:17 Session Duration Station: scaw-podbuild Session Start Time ---------11:13:41 Station: idt060-2 Session Start Time ---------13:14:12 11:13:26 * 11:58:14 13:40:08 14:25:47 16:23:02 16:29:46 16:31:02 Lost Action Time -------00:00:00 00:12:35 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 Wait For Work Time -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 Lost Action Time -------00:00:00 Wait For Work Time -------00:00:00 Session Action Time -------00:03:16 00:01:47 00:00:27 00:02:14 00:28:01 00:01:08 00:03:47 00:00:21 00:00:21 00:00:21 00:01:17 Lost Action Time -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:03:11 00:00:00 00:13:14 00:15:52 00:07:59 00:00:00 Wait For Work Time -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 Activity: Deposit Review Session Action Time -------00:39:31 Activity: Deposit Review Session Action Time -------00:00:03 00:30:54 00:00:16 00:00:03 00:00:03 00:06:42 00:01:12 00:05:27 Total Suspend Duration -------- Total Suspend Duration -------- -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 System Overhead Total Suspend Duration -------- Operator: 1 -------00:00:18 System Overhead Operator: 1 -------00:00:00 00:00:16 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 System Overhead Suspend Start Time -------- Suspend Start Time -------- Suspend Start Time -------- Operator: 1 Station: IDT060 Activity: Deposit Review 22/Oct/2006 to 26/Oct/2006 (Administration) NCR Training Deposit Review Operator Sessions Activity Report -------- Suspend Duration -------- Suspend Duration -------- Suspend Duration ----------- Reason ----------- Reason ----------- Reason Page 1 Appendix A: Report Samples Operator Performance Report Samples 397 398 01:18:36 256 283 373 270 603 436 260 1,476 116 1,587 216.0 285.6 207.8 611.0 466.6 441.1 629.9 745.7 826.3 3 5 3 8 5 3 19 1 21 Total No. Items Rekeyed ------- ------574.2 9 Avg. Hourly Rate 1 1 1 3 1 8 4 3 Total Keyed Fields Corr’d ------7 2,742 3,696 2,691 5,873 4,215 2,625 14,310 1,075 15,372 No. Actual Key Strokes ------6,481 2,889 3,876 2,831 6,053 4,332 2,670 14,668 1,084 16,174 No. Key Strokes Credits ------6,728 29/Aug/1999 2093.1 2829.8 2070.9 5950.7 4510.7 4453.3 6106.7 6910.7 8003.9 Avg. Hourly Key Strokes ------5563.1 (Training) No. of EXP PC Keyed/ Errors ------- 4 6 2 12 6 4 7 48 91 92 83 73 211 1 62 No. of TRANSIT Keyed/ Errors ------117 1 23 299 2 10 No. of SERIAL Keyed/ Errors ------2 257 1 343 575 1 218 425 1,417 2 265 No. of ACCOUNT Keyed/ Errors ------597 3 1,430 1 115 16 1 29 14 17 1 18 1 24 65 2 No. of TRANCOD Keyed/ Errors ------17 3 76 10 12 2 21 1 8 25 1 14 7 5 40 No. of AMOUNT Keyed/ Errors ------18 Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. 01:18:22 255 00:56:04 242 01:17:58 00:35:22 241 244 02:20:36 240 00:59:13 00:09:20 239 243 01:55:14 228 Total No. Items Pres’d -------- -------- ------227 01:09:54 669 Operator Action Number Time Activity: Codeline Completion NCR Training Codeline Completion Operator Performance Summary Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration Avg. Hourly Rate 01:02:20 00:58:41 02:37:07 00:08:10 01:05:57 03:11:36 01:18:26 00:17:50 05:14:45 022 067 128 156 189 347 455 623 677 7,632 752 2,714 7,215 3,083 229 3,728 916 2,721 636 1454.9 2530.1 2076.2 2259.4 2804.9 1682.4 1423.7 936.6 2619.1 1720.2 107 47 59 110 85 1 68 2 18 9 37,059 3,882 13,952 37,959 14,838 1,116 18,720 4,808 13,587 3,266 No. Actual Key Strokes ------30,368 8833.7 Avg. Hourly Key Strokes ------7862.8 8199.2 7148.8 4915.9 37,059 7064.5 3,882 13060.9 13,968 10673.0 37,959 11887.0 14,838 13499.3 1,116 18,725 4,808 13,587 13078.4 3,266 No. Key Strokes Credits ------30,368 29/Aug/1999 No. of EXP P/C Keyed/ Errors ------- (Training) No. of SERIAL Keyed/ Errors ------- No. of BANK Keyed/ Errors ------- No. of ACCOUNT Keyed/ Errors ------- No. of AMOUNT Keyed/ Errors ------5,994 74 636 9 2,708 1 17 907 2 3,708 68 227 1 3,066 85 7,185 110 2,707 1 58 754 47 7,617 107 No. of TRNCODE Keyed/ Errors ------- Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. 00:22:11 014 Total No. Items Total Keyed Fields Corr’d -------- ---------- ------- ------- ------003 03:51:44 6,014 1557.1 74 Operator Action Number Time Activity: Amount Keying NCR Training Amount Keying Operator Performance Summary Report Appendix A: Report Samples Operator Performance Report Samples 399 400 ---------05:44:53 * 02:22:07 06:07:39 * 04:09:47 * 04:29:20 * 05:58:27 04:20:14 * 03:36:31 * 04:36:50 * 02:44:03 06:11:07 * 05:17:47 04:18:04 * 03:14:49 * 06:09:45 03:29:58 * 04:46:02 * --------008 013 050 051 055 056 058 060 064 066 069 070 074 076 078 136 141 Total No. Items --------21,476 15,790 25,766 19,237 24,038 27,665 31,277 24,896 25,270 15,204 42,432 18,116 28,314 10,802 28,977 25,568 29,955 Avg. Hourly Rate --------3,736.2 6,666.4 4,205.0 4,620.9 5,355.0 4,630.8 7,211.3 6,899.1 5,476.9 5,560.7 6,860.2 3,420.4 6,583.0 3,326.8 4,702.2 7,306.3 6,283.5 Total No. Batches --------127 73 142 99 135 133 148 131 117 73 213 89 127 50 132 152 151 Total No. Items Inserted --------126 113 222 117 140 185 129 142 162 78 252 98 166 82 183 192 147 Total No. Fields Keyed --------852 513 840 749 869 1,068 1,135 974 1,012 574 1,788 641 1,150 412 1,047 957 1,049 01/Jan/2003 to 02/Feb/2003 2 2 1 7 Total No. Keyd Flds Corrected --------2 (Administration) No. Images Rejected --------- No. Actual Keystroke --------7,331 5,245 8,743 6,398 7,629 9,905 8,803 8,051 8,180 4,611 12,344 5,311 8,439 3,530 9,311 9,017 8,342 No. Keystroke Credits --------9,544 7,288 13,061 8,422 10,056 13,261 11,188 10,786 11,063 5,981 18,705 6,981 11,669 5,036 12,351 12,383 10,962 Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. Action Time Operator Number Activity: Balancing ANY BANK Balancing Operator Performance Summary Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration Total No. Items -------- ImageMark Transaction Manager 4.2 System Administration 2 ---------00:03:16 00:01:47 00:00:27 * 00:02:14 00:28:01 00:01:08 * 00:03:47 00:00:21 * 00:00:21 * 00:00:21 * 00:01:17 * 00:00:22 * Total No. Items -------86 114 Avg. Total No. Total No. Total No. Hourly Items Fields Keyd Flds Rate Inserted Keyed Corrected -------- --------- --------- --------1,579.6 3,835.5 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 No. Blocks Batches Batches MICR Misenc Miskey Images Split Split Moved Misreads Rejected -------- -------- --------- ---------- --------- -------- ------- 6 Action Time Operator: 1 9 No. Blocks Batches Batches MICR Misenc Miskey Images Split Split Moved Misreads Rejected -------- -------- --------- ---------- --------- -------- ------- Operator: 1 Page 1 No. Blocks Batches Batches MICR Misenc Miskey Images Split Split Moved Misreads Rejected -------- -------- --------- ---------- --------- -------- ------2 2 Operator: 1 Avg. Total No. Total No. Total No. Hourly Items Fields Keyd Flds Rate Inserted Keyed Corrected -------- --------- --------- --------0.0 97.1 10 34 0.0 0.0 0.0 0.0 0.0 0.0 Activity: Block Balancing Activity: Block Balancing 22/Oct/2004 to 26/Oct/2004 (Administration) Total Avg. Total No. Total No. Total No. No. Hourly Items Fields Keyd Flds Items Rate Inserted Keyed Corrected ---------- -------- -------- --------- --------- --------00:39:31 114 173.1 22 18 Station: scaw-podbuild Activity: Block Balancing Action Time ---------00:00:03 00:30:54 * 50 00:00:16 00:00:03 00:00:03 00:06:42 00:01:12 00:05:27 Station: idt060-2 Action Time Station: IDT060 NCR Training Block Balancing Operator Performance Detail Report Appendix A: Report Samples Operator Performance Report Samples 401 402 --------32 22 --------52 10 --------10 3 --------- Total No. Holds Removed Total No. Items Made Non-Nego tiable --------- Operator: bb77174 --------- Total No. of Hold Deposits No Change --------- Total No of NonNegotiable Deposits No Change ---------11 Total No of Deposits Returned Completed --------8 Page 1 Total No Deposits Returned Incomplete ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. -----165.9 112.1 -------364 83 -------02:11:38 00:44:25 Total No. Holds Applied Total No. Deposits Hold Reviewed Total No. Deposits Reviewed Action Time Total No. Deposits Non-Neg. Reviewed Activity: Deposit Review Avg. Hourly Rate (Administration) 22/Oct/2006 to 26/Oct/2006 Station: YourBank23 Your Bank Deposit Review Operator Performance Detail Report Total No of Deposits Timed Out --------22 Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration Cum. Total No. Items --------- Cum. Avg. Hourly Rate --------- Cum Cum. Cum. Total No. Total No. Total No. Items Fields Keyd Flds Inserted Keyed Corrected --------- --------- --------- Cum. No. Images Rejected --------- 22/Oct/2004 to 26/Oct/2004 --------0 Cum. Blocks Split (Administration) Cum. Batches Moved Cum. MICR Misreads Cum. Misenc Cum. Miskey ---------- ---------- ----------- --------- ---------0 0 0 0 0 Cum. Batches Split Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. -----------0000:00:04 Cum. Action Time Activity: Offline Expert Block Balancing NCR Training Expert Block Balancing Operator Grand Total Performance Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration 403 404 Cum. Total No. KeyFields Corrected --------7 Cum. No. Images Rejected --------- (Workgroup 4 Cum. No. Actual Keystroke --------20,273 Cum. No. Keystroke Credits --------27,475 Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. Cum. Total No. Fields Corrected --------2,207 30/Aug/1999 Cum. Cum. Cum. Cum. Total Avg. Total Total No. No. Hourly No. Items Items Rate Batches Inserted ---------- --------- --------- --------- --------11:21:36 * 77,055 6,783.0 382 435 Cum. Action Time Activity: Balancing NCR BANK Balancing Operator Grand Total Performance Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration --------9,999,999 9,999,999 9,999,999 -------99:99:99 99:99:99 99:99:99 -------9,999.99 9,999.99 9,999.99 Cum. Avg. Hourly Rate ImageMark Transaction Manager 4.2 System Administration --------9,999,999 9,999,999 9,999,999 Total No. Deposits Created for Review -------9,999.99 9,999.99 9,999.99 Avg. Hourly Rate ------------999,999 999,999 999,999 Cum. Total No Deposits NonNegotiable Reviewed Total No. Deposits Created for Hold Review ---------9,999,999 9,999,999 9,999,999 Total No. Deposits Created for NonNegotiable Review ------------999,999 999,999 999,999 Activity: %comp_type_name --------9,999,999 9,999,999 9,999,999 Cum. Total No. Deposits Hold Reviewed --------9,999,999 9,999,999 9,999,999 Cum. Total No Holds Reviewed --------9,999,999 9,999,999 9,999,999 Total No Automatic Holds Applied ------------9,999,999 9,999,999 9,999,999 Total No. Automatic NonNegotiable Changes Cum. Total No of Hold Deposits No Change -------999,999 999,999 999,999 ----------999,999 999,999 999,999 Total No Deposits Flagged for ReReview ---------999,999 999,999 999,999 Cum. Total No. Items NonNegotiable Operator: Autorole --------9,999,999 9,999,999 9,999,999 Cum. Total No Holds Applied 01/Jan/2006 to 02/Feb/2006 (Administration) --------999,999 999,999 999,999 Total No Deposits Processed ------------999,999 999,999 999,999 Cum. Total No of NonNegotiable Deposits No Change Page 1 ********** END OF REPORT ********** A session marked with an * indicates some data may be lost due to abnormal termination of operator application. -------99:99:99 99:99:99 99:99:99 Action Time Station: %station_name Cum. Total No. Deposits Reviewed Cum. Action Time Activity: Codeline Completion ANY BANK Deposit Review Operator Grand Total Performance Report ---------999,999 999,999 999,999 Cum. Total No Deposits Returned Incomplete ----------999,999 999,999 999,999 Cum. Total No of Deposits Returned Completed --------999,999 999,999 999,999 Cum. Total No of Deposits Timed Out Appendix A: Report Samples Operator Performance Report Samples 405 406 ---------14:05:35 14:31:18 14:33:34 14:57:12 15:08:00 18:34:56 * 18:43:41 18:53:29 19:03:43 21:32:52 21:42:04 22:09:00 22:11:06 ---BAL CLC BAL CLC BAL BAL BAL CLC BAL CLC BAL BAL EBAL -------14:31:16 14:33:33 14:57:10 15:07:58 17:55:04 18:43:36 18:53:26 19:03:41 21:32:49 21:42:02 22:02:02 22:11:05 22:16:56 SESSION END TIME -------00:25:41 00:02:15 00:23:36 00:10:46 02:47:04 00:08:40 00:09:45 00:10:12 02:29:06 00:09:10 00:19:58 00:02:05 00:05:50 SESSION DURATION SESSION ACTION TIME -------00:23:35 00:02:01 00:23:36 00:10:26 02:25:02 00:08:40 00:09:45 00:09:54 01:52:14 00:08:53 00:19:58 00:02:03 00:05:48 WAIT FOR WORK TIME -------00:00:01 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 00:00:02 00:00:02 WAIT FOR WORK % -------0.06 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1.60 0.57 WORK READY TIME -------- WORK READY % -------- 01/Jan/2003 to 02/Feb/2003 Workgroup: Administration -------00:02:05 00:00:00 00:00:00 00:00:00 00:22:02 00:00:00 00:00:00 00:00:00 00:36:52 00:00:00 00:00:00 00:00:00 00:00:00 SUSPEND DURATION SYSTEM OVERHEAD % -------0.00 10.37 0.00 3.10 0.00 0.00 0.00 2.94 0.00 3.09 0.00 0.00 0.00 Operator: 008 ---------17:04:21 17:27:53 18:33:01 19:33:38 20:40:31 ---BAL BAL BAL BAL BAL -------17:19:00 18:21:55 18:50:50 20:40:25 20:40:58 SESSION END TIME -------00:14:39 00:54:02 00:17:49 01:06:47 00:00:27 SESSION DURATION SESSION ACTION TIME -------00:14:39 00:42:25 00:17:49 01:06:47 00:00:27 WAIT FOR WORK TIME -------00:00:00 00:00:00 00:00:00 00:00:00 00:00:00 WAIT FOR WORK % -------0.00 0.00 0.00 0.00 0.00 WORK READY TIME -------- 01/Jan/2003 to 02/Feb/2003 Workgroup: Administration WORK READY % -------- -------00:00:00 00:11:37 00:00:00 00:00:00 00:00:00 SUSPEND DURATION SYSTEM OVERHEAD % -------0.00 0.00 0.00 0.00 0.00 Operator: 013 ============================================================================================================== TOTALS: Duration: 02:33:44 Action Time: 02:22:07 Wait For Work Time: 00:00:00 SESSION START TIME ACTV ANY BANK Resource Allocation Report ============================================================================================================== TOTALS: Duration: 07:24:08 Action Time: 06:21:55 Wait For Work Time: 00:00:05 SESSION START TIME ACTV ANY BANK NA Resource Allocation Report Appendix A: Report Samples Operator Performance Report Samples ImageMark Transaction Manager 4.2 System Administration Appendix A: Report Samples Auto-Activity Report Samples Auto-Activity Report Samples This section contains samples of all printable Auto-Activity reports. This includes the following: ! ! ! Entry Item reports ! Entry Summary report ! All Items report ! Batch Proof List report ! Adjustment/Corrections report ! Suspense Items In EPU Kill Pockets report ! Suspense Items in EPU Reject Pocket report ! Items Reassigned from EPU Kill Pocket report ! Items Pull report ! SMM Results report ! Misencode Detail report ! Low-Speed Items in High-Speed Pockets report Tray Set reports ! Capture Reconciliation Audit report ! Capture Reconciliation Audit Pocket Summary report ! ESU Pocket Total report ! Reassigned Pocket: ESU Operator Matched Item Audit report ATM reports ! Putaway Transaction report ImageMark Transaction Manager 4.2 System Administration 407 408 DR COUNT -------0 TOTAL DR+CR COUNT -----------------0 CR TOTAL ---------------0.00 DR TOTAL ---------------0.00 Block: 1000000007 Page 1 DR COUNT -------0 37 55 55 TOTAL DR+CR COUNT -----------------0 46 61 69 Entry: 3 CR TOTAL ---------------0.00 8,989.15 9,366.73 9,494.83 DR TOTAL ---------------0.00 8,989.15 9,366.73 9,494.83 Block: 1000000008 ********** END OF REPORT ********** Block Totals: 187 29 147 176 27,850.71 27,850.71 -----------------------------------------------------------------------------------------------------Entry Totals: 210 29 147 176 27,850.71 27,850.71 CR COUNT -------0 9 6 14 Host Entry: 3 BATCH No. TOTAL ITEMS -------------- ----------1000000015 3 0510 47 0519 64 0516 73 Cycle: 1 Block Totals: 23 0 0 0 0.00 0.00 ------------------------------------------------------------------------------------------------------ CR COUNT -------0 Entry: 3 NCR Training Entry Summary Report Host Entry: 3 BATCH No. TOTAL ITEMS -------------- ----------1000000014 23 Cycle: 1 Date: 29/Aug/1999 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration BATCH No. --------0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 0515 Cycle: 1 TYPE RECORD DISTRIBUTION NAME ---- ------ --------------------10 TRANSIT_ITEM_2 10 TRANSIT_ITEM_2 9 TRANSIT_ITEM_1_HIGH_ 9 TRANSIT_ITEM_1_HIGH_ 31 ADJ_PIGGY_BACK_DR 11 TRANSIT_ITEM_3 13 ONUS_PERSONAL_CHK 11 TRANSIT_ITEM_3 9 TRANSIT_ITEM_1_HIGH_ 11 TRANSIT_ITEM_3 13 ONUS_PERSONAL_CHK 9 TRANSIT_ITEM_1_HIGH_ 9 TRANSIT_ITEM_1_HIGH_ CR 16 ONUS_PERSONAL_DEPOSI 11 TRANSIT_ITEM_3 11 TRANSIT_ITEM_3 11 TRANSIT_ITEM_3 9 TRANSIT_ITEM_1_HIGH_ 13 ONUS_PERSONAL_CHK CR 16 ONUS_PERSONAL_DEPOSI CR 25 ADJ_TELLER_ERROR_CR 7 CASH_IN 13 ONUS_PERSONAL_CHK 9 TRANSIT_ITEM_1_HIGH_ 9 TRANSIT_ITEM_1_HIGH_ 9 TRANSIT_ITEM_1_HIGH_ 11 TRANSIT_ITEM_3 CR 23 RESEARCH_CREDIT_OUTS 9 TRANSIT_ITEM_1_HIGH_ 11 TRANSIT_ITEM_3 11 TRANSIT_ITEM_3 13 ONUS_PERSONAL_CHK 11 TRANSIT_ITEM_3 11 TRANSIT_ITEM_3 11 TRANSIT_ITEM_3 25 ADJ_TELLER_ERROR_DR CR 16 ONUS_PERSONAL_DEPOSI 7 CASH_IN 9 TRANSIT_ITEM_1_HIGH_ NP 22 NON_ITEM 9 TRANSIT_ITEM_1_HIGH_ Entry: 1 NCR Training All Items Report Host Entry: 1 DRN -----------------0108299908000201 0108299908000202 0108299908000203 0108299908000204 0108299908000200 0108299908000205 0108299908000206 0108299908000195 0108299908000207 0108299908000208 0108299908000209 0108299908000197 0108299908000210 0108299908000211 0108299908000212 0108299908000213 0108299908000214 0108299908000215 0108299908000211 0108299908000216 0108299908000216 0108299908000217 0108299908000218 0108299908000219 0108299908000220 0108299908000221 0108299908000222 0108299908000223 0108299908000224 0108299908000225 0108299908000226 0108299908000227 0108299908000228 0108299908000229 0108299908000230 0108299908000223 0108299908000231 0108299908000232 0108299908000233 0108299908000234 0108299908000235 Date: 29/Aug/1999 EXPT SERIAL FRDABA ACCOUNT TRAN AMOUNT ---- ---------- --------- -------------- ------- ---------161000075 043802161988 1342 19500 161000075 043901675337 1159 7500 160000513 044001500624 17500 160000513 044100908153 19500 P 12121 161000017 69006900 10000 141000011 044203491514 19500 161000017 044303096449 17500 S 127603 141000011 030302362111 6000 160000513 044400200116 19500 141000011 044506560470 28000 161000017 044603106030 10000 S 160000513 030500056962 2000 160000513 044705673111 10000 161000017 044803335699 96 22000 141000011 044901481803 4000 141000011 045001142409 3000 141000011 045100202085 500 160000513 045202002290 10000 A 161000017 044803335699 4500 161000017 045303151559 96 146601 A 161000017 61211297 96 43123 007126 612122004 0454 96 90000 161000017 045503001244 38194 160000513 045601000674 4929 160000513 045700714564 17172 160000513 045801000806 16109 141000011 045901652281 23320 009577 60700000 0460 96 296851 015339 160000513 046100009035 45000 123456 141000011 046200616026 80470 123457 141000011 046300616026 39253 161000017 046403371790 30000 123458 141000011 046500616026 36989 123459 141000011 046600616026 443 123460 141000011 046700616026 55696 A 161000017 61211297 9000 161000017 046803187551 96 84692 006562 612122004 0469 11461 160000513 047000904138 11194 66556655 0471 160000513 047200508149 8298 Page 4 of 5 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration 409 410 9494.83 0.00 Host Entry: 3 Block: 1000000008 DRN AMOUNT TYPE EXPT ------------------ ---------- ---- ---0108299908000657 262551 A 0108299908000663 107200 CR 0108299908000664 5000 0108299908000665 2500 0108299908000666 5000 0108299908000667 2500 0108299908000668 2500 0108299908000669 57200 0108299908000670 2500 0108299908000671 2500 0108299908000663 27500 A 0108299908000672 30000 CR 0108299908000673 15000 0108299908000674 15000 0108299908000675 17500 CR 0108299908000677 7500 0108299908000678 10000 0108299908000679 57916 O 0108299908000676 172571 CR 0108299908000680 13922 0108299908000681 34132 0108299908000682 2571 0108299908000683 1889 0108299908000684 30000 0108299908000685 2728 0108299908000676 87329 A Header Amount: 0.00<NP> Total Credits: 9494.83 Total NPCR...: 0.00 Entry: 3 NCR Training Batch Proof List Report DRN AMOUNT TYPE EXPT ------------------ ---------- ---- ---0108299908000618 949483 NP 0108299908000619 73794 CR 0108299908000620 2835 0108299908000621 4000 0108299908000622 10107 0108299908000623 23852 0108299908000624 3000 0108299908000625 2000 0108299908000626 2000 0108299908000627 3000 0108299908000628 23000 0108299908000629 37750 CR 0108299908000630 8000 0108299908000631 2500 0108299908000632 20798 0108299908000633 6452 0108299908000634 38500 CR 0108299908000635 20000 0108299908000636 10000 0108299908000637 500 0108299908000638 2500 0108299908000639 2500 0108299908000634 3000 A 0108299908000640 43269 CR 0108299908000641 42603 NP 0108299908000642 529 0108299908000643 137 0108299908000640 42603 A 0108299908000644 76078 CR 0108299908000645 35631 0108299908000646 27710 O 0108299908000647 18007 0108299908000648 4400 0108299908000649 18040 0108299908000650 10000 CR 0108299908000651 42270 CR 0108299908000652 26135 Items in Batch.: 73 Total Debits...: Total NPDR.....: Cycle: 1 Date: 29/Aug/1999 Batch: 0516 Page 1 of 1 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration ********** BATCH No. -----------0520 0517 0517 0517 0517 0517 0517 0517 0517 0517 0517 0514 0514 0514 0514 0514 Cycle: 1 Host Entry: 2 Entry: 2 END OF REPORT ********** Page 1 of 1 FRDABA ACCOUNT TRAN AMOUNT --------- -------------- ------ ---------161000017 019902100080 4000 161000017 013901142376 3809 161000017 015902434590 11089 161000017 016602244202 96 13500 161000017 61221296 10 161000017 61211297 54059 161000017 019402320179 17500 161000017 69006900 52598 161000017 61211297 14400 160000513 014201200830 6240 161000017 022102083943 33260 161000017 03000309 1100 161000017 61211297 96 4000 161000017 61211297 96 2000 161000017 61211297 15200 161000017 61211297 10000 NCR Training Adjustments / Corrections Report DRN ADJ SERIAL FIELD 10 FIELD 9 ------------------ --- ---------- -------- ------0108299908000375 0108299908000317 0108299908000337 18 0108299908000344 15 0108299908000351 41 00326719 0108299908000351 22 0108299908000370 15 0108299908000383 32 12 0108299908000389 26 0108299908000320 0108299908000396 19 0108299908000422 18 0108299908000425 23 0108299908000427 23 0108299908000431 22 0108299908000443 25 Date: 29/Aug/1999 Appendix A: Report Samples Auto-Activity Report Samples 411 412 7 7 1701638 1701638 ANY BANK 50001 50001 50001 18 (Debit) 18 (Debit) 18 (Debit) CLASSIFICATION -------------------------18 (Debit) Entry: 3741 5000 4000 5000 AMOUNT ---------67200 Suspense Items in EPU Kill Pockets Report BTM BATCH NO. ------------50001 ********** 01 74144886 01 74143197 01 74142621 DRN ----------01 74142570 Host Entry: 3741 END OF REPORT 6 1701637 ********** POCKET -----7 TRAY NO. -------1701638 Cycle: 1 Date: 7/Apr/2004 d061000010d d061000010d d502111002d d061000010d 10 211 403c 5458 10 420 898c 4297 12206c 64 829 065c 2388 CODELINE ------------------------------ Page 1 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration ********** TRAY NO. -------1701635 1701635 1701635 1701635 1701635 Cycle: 1 ANY BANK ********** DRN ------------74139892 74141971 74142620 74143196 74144885 SERIAL -----150846 TRANSIT --------061112788 325272021 Entry: 3741 ACCOUNT -------------000101111566 808943545 Suspense Items in EPU Reject Pocket Report BTM BATCH NO. ------------50001 50001 50001 50001 Host Entry: 3741 END OF REPORT TRAY SEQ ---------108 1334 1658 1921 2543 Date: 12/Apr/2004 3258 TRNCOD ------ AMOUNT ---------7300 10000 5000 Page 1 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration 413 414 5 6 8 5 5 5 5 325 326 328 325 325 325 325 7 7 6 6 1 1 2 2 NEW PKT ------6 ********** D D D D D D R R REASON -----D 0108299908000675 0108299908000672 0108299908000655 0108299908000654 0108299908000641 0108299908000591 0108299908000542 0108299908000512 DRN -------------------0108299908000510 Entry: 3 Page 1 CLASSIFICATION AMOUNT CODELINE ------------------------------------- ---------- -------81 (Deposit Slip) 14100 c03795280c d161000017d 96 177 (Research Credit) 77842 d161000017d 96 177 (Research Credit) 229530 d161000017d 96 5 (Unknown) 10000 d161000017d0342-02055101 c 5 (Unknown) 42603 c000982c d612222001d0392c 96 81 (Deposit Slip) 25351 c02770452c d161000017d 96 81 (Deposit Slip) 5000 c02770453c d161000017d 96 81 (Deposit Slip) 30000 c03043282c d161000017d 96 81 (Deposit Slip) 17500 c02940870c d161000017d 96 NCR Training Items Reassigned from EPU Kill Pockets Report Host Entry: 3 END OF REPORT 5 325 ********** ORIG PKT -------5 TRAY NO. -------325 Cycle: 2 Date: 29/Aug/1999 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration SERIAL -----100010 Bank --------010001 ACCOUNT -------------9999999 TRNCOD -------- AMOUNT ------------1000 KITCHENER_BANK 19/Mar/2001 16:45:46 Page 1 ImageMark Transaction Manager 4.2 System Administration SERIAL -----100005 100009 100006 Bank --------124001 124001 124001 ACCOUNT -------------12345678 12345678 12345678 TRNCOD -------- AMOUNT ------------200 1900 10100 BANK_ONTARIO 19/Mar/2001 16:45:46 Page 2 19/Mar/2001 16:45:46 Page 3 ********** END OF REPORT ********** Total Total Total Total Total NP Total NP Items Amount Debits Credits Debits Credits ------------------ ------ ------- ------- -------- ------------ --------BANK_ONTARIO 3 12200 12200 0 0 0 KITCHENER_BANK 1 1000 1000 0 0 0 =============================================================================== Grand Total: 4 13200 13200 0 0 0 Total Name Bank of Waterloo Items Pull Report - Sample ............................................................................... DRN ------------238508000013 238508000030 238508000445 Posting Date: 14/Mar/2001 Bank of Waterloo Items Pull Report - Sample ............................................................................... DRN ------------238508000021 Posting Date: 14/Mar/2001 Bank of Waterloo Items Pull Report - Sample Appendix A: Report Samples Auto-Activity Report Samples 415 416 ********** ---------DB DB DB DB DB CR/DB/NP DRN SERIAL 1610-0001 627637504 BANK ACCOUNT SERIAL BANK END OF REPORT ********** ------------- -------- --------000100000932 00020051610-0001 000100000933 00020051610-0001 000100000934 00020051410-0001 000100000935 00020061610-0001 000100000937 00020061610-0001 DRN 1610-0001 734549178 -----------977143125 182045561 027218030 419646961 932201602 ACCOUNT ---------- TRNCOD ---------- TRNCOD Entry: 8222 ------------- -------- --------- -----------000100000952 0002006 1410-0001 507717219 000100000953 0002006 1610-0001 932209797 000100000954 0002006 1600-0051 914745438 Dep. R/T : Dep. Acct: ---------DB DB DB CR/DB/NP Dep. R/T : Dep. Acct: NCR Training Misenocde Detail Report Encoded Amnt. ----------0000022672 0000001383 0000016285 0000010045 0000077671 Actual Pocket Tray ON-US Cnt Amnt. ---------- -------- ------- ------------4468 7 8222001 YES 1 45454 7 8222001 YES 2 4445 3 8222001 NO 3 0000077671 1 8222001 YES 4 0000068049 7 8222001 YES 5 Encoded Actual Pocket Tray ON-US Cnt Amnt. Amnt. ----------- ---------- -------- ------- ------------0000038837 1425 3 8222001 NO 1 0000032599 3256 7 8222001 YES 2 0000062552 2543 3 8222001 NO 3 Date: 08/Sep/2004 Page 1 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration Appendix A: Report Samples Auto-Activity Report Samples Low-Speed Items in High-Speed Pockets Report The following example shows the format of the report for 3890 Capture. In this example: There are 5 pockets at the ESU, and 5 pockets defined in the “low-speed” sort pattern: ! ImageMark ESU Pocket 1 – 3890 R Pocket (Exception pocket) ! ImageMark ESU Pocket 2 – 3890 pocket 1 – on-us A ! ImageMark ESU Pocket 3 – 3890 pocket 2 – on-us B ! ImageMark ESU Pocket 4 – 3890 pocket 3 – on-us C ! ImageMark ESU Pocket 5 – 3890 pocket 4 – transit The report is sorted by DRN within “low-speed” pocket number. When a good item is keyed, and any field is changed it becomes a low-speed item. The balancing operator is supposed to pull the item if it was a good item, but they have changed either the amount, or a non-amount field. In this example, 11 good items were changed at Balancing – the amount may have been changed, and/or other non-amount fields may have changed. ! four “on-us A” items were changed., and need to be pulled from pockets 5, 4, 4 and 30 respectively. In this example, one item was a non-proof batch header that got misread at capture as a credit, and got re-keyed as a batch header. Likely this item doesn’t need to be pulled, but is listed on the report just because it got keyed. A balancing G/L debit item needs to be generated totaling $6.00 for the 3 credit items, and they need to go with the output pocket 2 from the ESU “R” run that included entry 1234. ! no “on-us B” items were changed ! three “on-us C” items were changed, and need to be pulled from pockets 10, 5, and 15 respectively. Two are on-us debits, and one is an on-us credit, so two balancing items need to be generated; a $200.00 debit, and a $400.00 credit to create balanced transactions for these 3 items, and they need to go with the output pocket 4 from the ESU “R” run that included entry 1234 ! four transit items were changed. and need to be pulled from pockets 4, 2, 4 & 3 respectively. A balancing credit item needs to be generated totaling $100.00 for these 4 items, and they need to go with the output pocket 5 from the ESU “R” run that included entry 1234. This pocket is re-primed on the 3890. ImageMark Transaction Manager 4.2 System Administration 417 418 Tray No. 1234010 1234008 1234008 99123456 99123433 1234010 1234030 1234008 1234004 1234008 1234006 10 5 15 Sub-Total: 4 2 4 3 Sub-Total: Total: %Bank Name 5 5 5 5 5 4 4 4 4 Low-Speed Pkt 2 2 2 2 2 Host Entry: 1234 Orig Pkt 5 4 4 30 Sub-Total: Cycle: %cycle Date: %date DR DR DR DR DR CR DR Type CR CR NP CR Non-Proof: 1200000175 1200000223 1200011033 1200014888 Non-Proof: 1200000056 1200012123 1200015999 Non-Proof: DRN 1200000123 1200000199 1200000200 1200011045 Non-Proof: Entry: 1234 0 9999999 9999999 9999999 9999999 0 9999999 9999999 9999999 0 Serial 9999999 9999999 9999999 9999999 100456789 Credit: 999999999 999999999 999999999 999999999 Credit: 999999999 999999999 999999999 Credit: 20600 99999999 99999999 99999999 99999999 0 99999999 99999999 99999999 20000 Debit: 99999 99999 99999 99999 Debit: 99999 99999 99999 Debit: 99999 Debit: Trncode 99999 99999 Page %page Bank Account 999999999 99999999 999999999 99999999 5544-5544 100456789 999999999 99999999 Credit: 600 Low-Speed Items in High-Speed Pockets Report 50000 1000 2000 3000 4000 10000 10000 20000 30000 40000 300 0 Amount 100 200 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration OR&OEP OEP OR&OEP OEP OEP OR&OEP OEP OEP OEP OEP ESUMAT ESUMAT ESUMAT ESUMAT ESUMAT ESUMAT ESUMAT ESUMAT ESUMAT ESUMAT OEP OR&OEP ESUMAT ESUMAT EXCEPTION --------OR&OEP MATCH -----ESUMAT Cycle: 2 ANY BANK NA 01 74257477 01 74257324 01 74251031 01 74248942 01 74258097 01 74256149 01 74256148 01 74256030 01 74254779 01 74254717 01 74253981 01 74251476 DRN -------------------01 74248585 YES YES YES YES YES YES YES YES YES YES YES YES ON-US ----YES 28500 40446 25000 24111 61731 28000 28000 13162 1016600 25000 56587 750215 AMOUNT -----------189238 Entry: 3761-03-01-00-00-00 7/Apr/2004 DB DB DB CR CR DB CR DB DB DB CR CR 1000003300 d06 0000 0d 67 42! 1000003300 1000003300 c007504c d06100000!!6!!b!b!6!!!!!!!!!!6!! !0 0 9 1000003299 d502201886d !!!!2272!!!5c 1000003300 3!!!!!-! 1000003299 d!!d 1000003300 1000003300 c054603cd061000010818769513d 2 25!b!6!6!7! 3 c!c!!6c!7 7!!!!!!!!! 2 !!!!67!! 5!22!!!6!! 1000003300 d507000008dd 23 266 269 c9997 1000003300 52! 0 26 1000003300 RECONCILED TRAY --------------1000003299 d!!!! Operator: 123 Page 1 1000003300 c003697c d061000010d12 612 461c FROM ENTRY ---------- Tray: 1000003292 CR/DB/NP -------CR OnUs Reconciled/Dispatched - Capture Reconciliation Audit Report Appendix A: Report Samples Auto-Activity Report Samples 419 420 Entry: 3537-03-01-00-00-00 7/Apr/2004 Tray: 1000000256 Operator: 123 NO NO NO ****** 005092 065000090 072412927 065000090 354826 2080097401 47986 2000 114372 0 0 0 DB DB DB NO 061100790 9000 0 DB NO 267077627 10605 0 DB ********** END OF REPORT ********** ==================================================================================================== TRAY TOTALS 183963 ( 5 ITEMS) ---------------------------------------------------------------------------------------------------POCKET 0 TOTALS 10605 ( 1 ITEMS) ---------------------------------------------------------------------------------------------------- 01 73172571 ---------------------------------------------------------------------------------------------------POCKET 0 TOTALS 9000 ( 1 ITEMS) ---------------------------------------------------------------------------------------------------- 01 73168192 ---------------------------------------------------------------------------------------------------POCKET 0 TOTALS 164358 ( 3 ITEMS) ---------------------------------------------------------------------------------------------------- 01 73168170 01 73172552 01 73168169 DRN ON-US SERIAL BANK ACCOUNT TRNCOD AMOUNT PKT CR/DB/NP -------------------- ----- ------ --------- -------------- ------ ------------ --- ----------------------------------------------------------------------------------------------------------- Cycle: 1 ANY BANK NA Capture Reconciliation Audit Pocket Summary Report Page 1 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration ImageMark Transaction Manager 4.2 System Administration ADJOR&SUS TRUMIS 00110617949 00110853789 00110165679 DRN -------------------00110291656 YES NO YES ON-US ----NO 539245 357421 605559 AMOUNT ---------992918 Entry: 0002-03-01-00-00-00 29/Aug/1999 NP NP NP CR/DB/NP -------CR FROM ENTRY ---------- Tray: 1000000052 7476 8698 6743 RECONCILED TRAY --------------3525 0995203491 4376325102- 6983744012- 2340463791 Operator: 666 Page 29 ********** END OF REPORT ********** ----------------------------------------------------------------------------------------------------------------------TOTALS CR: 15,407.69 DB: 409.54 NP: 22,513.08 Total # Items: 11 ----------------------------------------------------------------------------------------------------------------------- ADJOR&SUS UNRSLV ESUMAT FREE EXCEPTION --------ADJOEP&SU MATCH -----ESUMAT Cycle: 1 NCR Training - Bank 1 Reassigned Pocket - ESU Operator Matched Item Audit Report Appendix A: Report Samples Auto-Activity Report Samples 421 422 9414.57 Host Entry Number: 2 29/Aug/1999 ********** END OF REPORT ********** TRAY ESU 3890 TOTAL HEADER POCKET POCKET TOTAL NUMBER NUMBER NUMBER NUMBER AMOUNT ITEMS ---------- ------ ------ ------------- -----1000000052 1 2.00 8 1000000045 2 1 0.00 4 1000000046 3 2 855.33 18 1000000047 4 3 5301.53 29 1000000048 5 4 3152.08 9 1000000049 6 5 0.00 2 1000000050 7 6 0.00 3 1000000051 8 7 0.00 2 ================================================= 9310.94 75 Input Tray Amount: Entry Number: 2 NCR Training ESU Pocket Total Report : 02-00-00-00-I-000 Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration Host Entry:10 Entry: 10 Date: 30/Aug/2002 Page 1 ********** DB: $ 9999-9999 9999-9999 9999-9999 9999-9999 9999-9999 ********** 0.00 END OF REPORT CR: $ 00125 71189 24065550 24065551 TOTALS 00157 51256 87342 24065471 24065472 24065473 ATM Number: 24156 1,700.87 NP: $ 657834 98765320134 887766554433 0.00 CR DB CR DB DB Total #Items: 5 $250.00 $100.00 $1,350.87 2 4 2 3 4 2 7 2 3 7 DRN SERIAL BANK ACCOUNT TRAN AMOUNT CR/DB/NP TRAY No. PKT -------------------------------------------------------------------------------------------------------------- Cycle:1 Putaway Transaction Report - Bank of Waterloo Appendix A: Report Samples Auto-Activity Report Samples ImageMark Transaction Manager 4.2 System Administration 423 Appendix A: Report Samples MIE Exception Report MIE Exception Report This section contains a sample of the MIE Exception report. 424 ImageMark Transaction Manager 4.2 System Administration = = = = 005 001 89 P9901 = 001 = P9901 = 89 = SEND = SYSTEM01 DocType BLOCK BATCH * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D * D RecID 0xb2 0xb6 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x55 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x91 0x55 CorCD(HEX) 0x00(GOOD ) 0x00(GOOD ) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x14(MOVDEL) 0x21(CORREJ) 0x21(CORREJ) 0x21(CORREJ) 0x21(CORREJ) 0x21(CORREJ) 0x21(CORREJ) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) 0x44(MOVADD) DRN 08040602578989001895 08040602578989001896 08040602578989001907 08040602578989001908 08040602578989001909 08040602578989001910 08040602578989001911 08040602578989001912 08040602578989001913 08040602578989001914 08040602578989001915 08040602578989001916 08040602578989001917 08040602578989001918 08040602578989001919 08040602578989001920 08040602578989001924 08040602578989001925 08040602578989001926 08040602578989001927 08040602578989001928 08040602578989001929 08040602578989001907 08040602578989001908 08040602578989001909 08040602578989001910 08040602578989001911 08040602578989001912 08040602578989001913 08040602578989001914 08040602578989001915 POD 00508221400FSMG00001 00508221400FSMG00002 00508221400FSMG00049 00508221400FSMG00050 00508221400FSMG00051 00508221400FSMG00052 00508221400FSMG00053 00508221400FSMG00054 00508221400FSMG00055 00508221400FSMG00056 00508221400FSMG00057 00508221400FSMG00058 00508221400FSMG00059 00508221400FSMG00060 00508221400FSMG00061 00508221400FSMG00062 00508221400FSMG00066 00508221400FSMG00067 00508221400FSMG00068 00508221400FSMG00069 00508221400FSMG00070 00508221400FSMG00071 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 00508221400FSMG00072 ========================================================================= REQUEST CommandName SystemID EDIT Bank SortPatternName DeviceNumber JOB JobNumber BankNum Device SortPattern Amount PC ACCT FLD4 TR 52843 098 51943 0000005555 12345678913 0000004444 12345678912 0000002222 0600120006 5526 0000000020 12345678901 0000000040 12345678901 0000000014 12345678901 0000000040 12345678901 0000000040 12345678901 0000000033 12345678901 0000007777 00600304344 9559 0000000040 12345678901 0000000040 12345678901 0000005555 12345678913 0000003333 12345678911 300 12345678901 100 12345678901 200 12345678901 300 00600304344 9559 100 12345678901 200 12345678911 0000005555 12345678913 0000004444 12345678912 0000002222 0600120006 5526 0000000020 12345678901 0000000040 12345678901 0000000014 12345678901 0000000040 12345678901 0000000040 12345678901 0000000033 12345678901 FLD6 SER 5940-0000 0323491 5500-0000 01193764 10101234 10101234 101100634 10100100 10201111 10111482 80000003 80000013 50000001 101100634 80000002 80000011 10101234 10101234 8000-0003 8000-0005 8000-0006 101100634 1020-1111 1010-1234 10101234 10101234 101100634 10100100 10201111 10111482 80000003 80000013 50000001 Pkt 11 11 13 13 16 13 21 33 21 22 64 16 22 22 13 13 15 15 15 15 15 15 13 13 16 13 21 33 21 22 64 HiLo H H H H H H H H H H H H H H H H L L L L L L H H H H H H H H H CapBnk 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 001 Commgl 1 1 1 1 1 1 1 1 1 1 98 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 1 98 Appendix A: Report Samples MIE Exception Report ImageMark Transaction Manager 4.2 System Administration 425 Appendix A: Report Samples MIE Exception Report 426 ImageMark Transaction Manager 4.2 System Administration Glossary 3890 IBM’s high-speed reader/sorter transport; processes 100,000 documents per hour. A Active Node A server system that is running and participating in cluster operations. Adjustment An electronic procedure to correct an error in a customer deposit or teller work. Most adjustments cause an Advice Notice to be generated. Note: The customer could be another bank. Advice Notice A letter that is generated as a result of an adjustment. Includes image(s) of the relevant item(s) and tapes (if available). Advises the customer or teller of the error and the action taken. B Balanced I-String An I-string generated by the ImageMark BIE autorole, after ImageMark has balanced an entry that was captured first pass on an EPU. Also generated from a prime I-string captured on a 3890 first pass, which needs to be balanced, on either ImageMark or on the CPCS side. BAP See Base Application Processor. ImageMark Transaction Manager 4.2 System Administration 427 Glossary Base Application Processor (BAP) A server that manages workflow and operations for the ImageMark Capture system and provides the interface to the customer’s host system. The Base AP stores configuration and application information, user information, workflow details, and statistical data for reports. Batch An NCR ImageMark Capture unit of work; a group of transactions, often assembled by the teller in Over-the-Counter POD, or a bundle of work coming in from inclearings, typically containing 200300 items with a batch header and optional batch trailer. In large deposits or inclearings, these batches could be considerably larger but it is recommended to keep them small. Batch Header A control document placed at the beginning of a batch. Must be encoded with a unique serial number that may include the branch number. Batch Trailer Optional control document placed at the end of a batch. Block A unit of work containing many transactions. Usually begins with a block header. Typically contains 2000-3000 items. In large deposit or inclearings work, the blocks could be much larger but it is still recommended to keep them to this size. Block Header A control document placed at the beginning of a block. C Check Processing Control System (CPCS) Software used by banks for account posting, float, bundle lists and cash letters. CPCS resides and runs on IBM mainframes, and normally uses IBM 3890 transports for capturing and sorting items. Cluster A group of independent computer systems, referred to as nodes, working together as a unified computing resource. Cluster Service The essential software component that controls all aspects of server cluster operation and manages the cluster database. Each node in a server cluster runs one instance of the cluster service. 428 ImageMark Transaction Manager 4.2 System Administration Glossary Codeline The MICR (Magnetic Ink Character Recognition) information at the bottom of the item. Contains all the information needed by the check clearing system. Commingle Commingling means processing work for multiple banks. An item called Presenting Bank Item designates the bank being processed. In ImageMark, the presenting bank number is encoded on the Block Header and the presenting bank item will not be run in ImageMark Transaction Manager. In SuperMICR, non-commingle item record IDs differ from commingle. CPCS See Check Processing Control System. Cutslip Used in CPCS processing. A control document that is fed automatically from the merge hopper after a certain number of items have been processed. Sometimes referred to as a divider. Cycle The grouping that determines the posting date of the work. Each unit of work is associated with a particular cycle. Could be used to track the work for one shift or for one day. Cycle Posting Date The date on which a cycle is posted to the consolidation server. Set by a supervisor. For unencoded POD or pre-encoded POD work, the cycle posting date refers to the date when the customer will get credit for their deposit. For inclearings work, the depositor is the bank or clearing house or federal reserve branch that returned your on-us checks. The cycle posting date refers to the date when that institution will get credit for their “deposit”. D DAP See Data Application Processor. Data Application Processor (DAP) A server that monitors and manages work throughout the ImageMark Capture system. Each DAP can support up to three DSs. ImageMark Transaction Manager 4.2 System Administration 429 Glossary Data Server (DS) A server that contains the database of document images and codeline information. (In the case of 3890 captured work, the images are not stored in the database. They are stored on the VECTORsgi ICC/ICS (Image Capture Controller / Image Capture Server)). Each DS can support up to two EPUs and multiple IDTs. Deposit Review Autorole (DRA) A function of ImageMark Transaction Manager that automatically removes non-negotiable items from the document stream. TM creates Advice Notices to notify customers whose accounts are affected by these items. Document Preparation (doc prep) Getting items ready for processing on the Entry Processing Unit. Includes “grooming” (removing paper clips, staples etc.), organizing into trays and capturing images of adding machine tapes. Document Reference Number (DRN) A sequential number assigned by the Image Capture application, and printed on each item processed at the Capture transport. Uniquely identifies the item within the cycle. Parameters identify the exact makeup of this flexible but unique item. In the case of 3890 captured entries, the DRN is assigned from the ISN (item sequence number) that was assigned & endorsed on each item by the CPCS MICR application. DRA See Deposit Review Autorole. DRN See Document Reference Number. DS See Data Server. E Effective Date The SuperMICR term for the cycle posting date. EIPS See Enhanced Item Processing System. 430 ImageMark Transaction Manager 4.2 System Administration Glossary Encode To print magnetic or optical characters in the codeline area of an item. Encode and Sort Unit (ESU) A machine that encodes the codeline information on the documents and then sorts the documents into pockets. Endpoint Final destination of a processed item. Endorse To print non-magnetic information on an item (not in the codeline area). Enhanced Item Processing System (EIPS) NCR software used to control imaging systems. Entry A unit of work processed at Image Capture. Consists of multiple blocks and batches. Typically the size is about 10,000 items but can be larger depending on your site’s processes. This is the largest unit of work that can be balanced. Entry Number A four-digit number that ImageMark uses to identify a new Entry. In CPCS, the Tracer Group account field includes the 4-digit entry number. In SuperMICR, the EPU assigns a unique entry number. The Entry number is used at Capture Reconciliation to identify work in process. Entry Processing Unit (EPU) A machine that captures the images of checks, deposit slips, and other internal bank documents and stores their images and codeline information. The EIPS EPU captures information into flat files, and EPA loads this information into the database. EPU See Entry Processing Unit. ESU See Encode and Sort Unit. ImageMark Transaction Manager 4.2 System Administration 431 Glossary Exception Item An item that requires the attention of the Capture Reconciliation operator, possibly because the ESU could not match with an item in the database, or because it has been outsorted for further research. I I-String Input string created by CPCS at prime pass capture on the 3890. Contains a list of records, one for each item. Each record contains information about the item, such as field values, item type flags, record ID, and pocket number. ICC See Image Capture Controller. ICS See Image Capture Server. Image Capture Controller (ICC) A VECTORsgi term. A server that supports one or more 3890 transports within a 3890 Capture system. Internet Information Services (IIS) a set of Internet-based services for servers using Microsoft Windows. It is the world's second most popular web server in terms of overall websites behind the Apache HTTP Server although the gap is decreasing according to Netcraft. The servers currently include FTP, SMTP, NNTP, and HTTP/HTTPS. Image Capture Server (ICS) See Image Capture Controller. Image Capture An NCR ImageMark Capture application that runs on the Entry Processing Unit (EPU) and controls one or more of the following functions: 432 ! capturing electronic images of items ! endorsing specified information on the item ! capturing item images ! sorting the items into specified pockets ImageMark Transaction Manager 4.2 System Administration Glossary Inclearings On-us work that was initially processed by another bank (bank of first deposit). ISN See Item Sequence Number. Item Sequence Number Sequential number printed on each item processed on a 3890 transport. K Kill Pocket/Tray Contains items that do not require any further NCR ImageMark Capture processing, such as On-us items and cash tickets. If a kill pocket contains transit items, then this pocket is ready for Kill Bundle Listing and Cash Letter print. Then the tray of items is dispatched to its destination (Endpoint) via courier. Note: Each pocket has separate ImageMark vs. 3890 pocket types. A pocket may be considered an ImageMark Kill, but 3890 Rehandle. In that case, the pocket must be rehandled on a 3890 for additional sorting. M Magnetic Ink Character Recognition (MICR) A type of recognition that relies on detecting characters that have been machine printed in magnetic ink to rigid specifications. The distinctive shape of each character and amount of magnetic ink in each character are strictly defined by ANSI. MICR See Magnetic Ink Character Recognition. NNetwork A cluster object that carries internal communication between nodes and/or provides client access to cluster resources. Node A server system that is an active or inactive member of a server cluster. ImageMark Transaction Manager 4.2 System Administration 433 Glossary O OCR See Optical Character Recognition. OEP See Over Encode Protect. On-us Items Items that are drawn on your bank. These may be either debits (checks & cash-out tickets) or credits (deposit slips & cash-in tickets). Optical Character Recognition (OCR) A type of recognition that relies on detecting characters that have been machine printed to rigid specifications that allow them to be read by an optical character reader (OCR reader). The distinctive shape of each character is strictly defined by ANSI. OCRA and OCRB are two widely used OCR fonts. Over Encode Protect (OEP) The system does not encode information on items marked as OEP. The codeline doesn't contain enough space between existing fields to encode a missing field. The operator will either add a strip to the bottom of the item and encode the strip, or put the item into a carrier envelope, then encode the carrier envelope. P Parameter Set A collection of many parameter files, specifying how to process a type of work (not an individual item). When an entry is captured, the parameter set must be selected before you begin, and this parameter set controls how the work is processed throughout the workflow. For example, the parameter set might specify that debits are processed before credits. There may be different parameter sets to process different types of documents. PCS See Proof Correction System. 434 ImageMark Transaction Manager 4.2 System Administration Glossary Piggyback An item that moves down the track behind another item and is therefore hidden from the system. If front and rear imaging is turned on, the system captures the front image of the front item and the rear image of the hidden item, but thinks it is one item. Posting Date The date on which a cycle is processed. Set by a supervisor. This is often referred to as the effective date or cycle date. Primary Job Term used by SuperMICR for a prime-pass capture. The information sent to the host by the system is called a primary job. Equivalent to a CPCS balanced I-string. If the reader/sorter performs a prime capture the data captured on the host is called the primary job. Prime I-String An unbalanced I-string generated by running pre-balanced OTC (over-the-counter) work previously encoded and balanced (at single-pocket proof stations) first pass on a 3890. Proof Correction System A Fiserv product used to generate adjustments and print/fax advice notices, similar to ImageMark Transaction Manager’s Balancing and Advice Notice Printing roles. R R Pocket On the 3890, this is the pocket where all rejects (items that failed Recognition) are sent during capture. On the EPU, only control documents, such as tracers, block and batch headers, go to the R pocket. Rehandle Tray A tray of items that require further processing at the ESU or 3890. Rehandle Pocket A pocket of items that require further processing at the ESU or 3890. Reject Item An item that is rejected at the EPU or reader/sorter because the codeline could not be recognized. The physical item is placed in the reject pocket; the image is sent to Codeline Completion. ImageMark Transaction Manager 4.2 System Administration 435 Glossary Reject Pocket The bin used to store rejected documents. Resource A physical or logical entity that is capable of being owned by a node, brought online and taken offline, moved between nodes, and managed as a cluster object. A resource can be owned by only a single node at any point in time. A resource is an instance of a resource type. Routing Transit Number This is another name for the Bank number. S Secondary Job Term used by SuperMICR for a second pass of a rehandle pocket off a prime capture run. If a reader/sorter performs a second pass the data captured on the host is called the Secondary Job. Showout An adjustment to a transaction that is out-of-balance by less than a specified amount. This will be “written off” and not charged back to the customer or teller. (This can also be called “over and short” or various other names by different banks.) Sorter Transport for sorting items. Typically this is an IBM 3890 reader/sorter. Not an EPU or ESU. SuperMICR Software used by banks for account posting, float, bundle lists and cash letters. SuperMICR resides and runs on IBM mainframes, and normally uses IBM 3890 transports for capturing and sorting items. Suspense Pool An electronic holding area for item images/information for items that were captured within the wrong transaction. Software Optical Character Recognition (SWOCR) An ActiveX Control OCX that enables the recognition of standard codeline encode formats from an image. 436 ImageMark Transaction Manager 4.2 System Administration Glossary T Tracer Group Documents Used in CPCS processing. Control documents placed at the beginning of an Entry and used to provide information for further processing by a reader/sorter. The Tracer Group account field includes the 4-digit entry number and a 3-digit incrementing slip number. The Routing Transit field identifies the item as a tracer group. Typically a bank runs a pack of approximately 50 tracers at the beginning of each entry, and a certain programmable # of these are placed into the “R” pocket, and each rehandle pocket. Transit Items Items that will be forwarded to the issuing bank. Transaction A complete deposit, consisting of at least one credit (usually a deposit slip) and one or more debits (usually checks). Transport A generic name for the hardware that processes large volumes of items. The Entry Processing Unit and the Encode and Sort Unit are both transports. Tray A container used for organizing and transferring items from one stage of the process to the next. Tray Headers An ImageMark control document used to identify physical trays of items in a CPCS environment. They are used to identify the tray when selecting work at the ESU. The ESU can feed Tray Headers to the front of each output tray if required. Note: When the ESU processes the 3890 R pocket, there is no tray header to identify the work. Instead, the first tracer is used to identify the tray. Tray Set A unit of work processed at the ESU. Consists of one or more physical trays of items that were sorted into the same pocket at the EPU. ImageMark Transaction Manager 4.2 System Administration 437 Glossary U Universal Batch Header An item with a codeline that can be treated as either a batch header or a cutslip, depending on whether it is inbound or outbound work. 438 ImageMark Transaction Manager 4.2 System Administration Index Symbols 348 A access security accounts types 262 domains about supporting 270 BAPs in same domain 269 databases in different domains 269 databases in same domain 269 remote IDT workstations 270 server 262 system 262, 268 domain security 269 supporting organizational units 269 Access Security Manager assigning permissions by activity 154 by user 152 creating new workgroups 146 user accounts 148 deleting user accounts 151 workgroups 147 modifying user accounts 150 workgroups 146 removing user permissions 156–157 starting 144 accounts access security types 262 system access security 262 active directory ImageMark Transaction Manager 4.2 System Administration about 260 activities loading 72, 77 managing 71 remote 30, 35 shutting down 72, 313 station control 71 stopping an auto-activity 77 unloading 73 viewing 71 viewing activities for a workflow interaction 44 viewing workflow interactions by activity 43 Activities dialog 82, 313 adding cycles 45 parameter sets about 133 by package 134 by station 138 printers 284 software by package 128 by station 131 station 112 station groups 108 stations 111 workstations 103 Adjustment Summary report description 183 sample 344 Adjustment/Corrections report description 244 Adjustments/Corrections report sample 411 administration tasks for a server cluster 292 diagnostic alerts, setting up 293 ImageMark package version monitoring 292 ImageMark services, starting and stopping 295 scheduled tasks, managing 296 Advice Notice Export utility about 280 configuring your system 280 running 280 439 Index saving flat files 282 saving TIFF files 280 Advice Notice Utility configuration file format 280 Advice Notices saving as TIFF files 280 aging out second source records 56 AK (See Amount Keying) All Items report description 242 sample 409 Amount Keying Grand Total Performance report 234 Operator Performance Detail Report 230 Operator Performance Summary report 227 sample 399 Amount Suspect Summary report 183 description 183 sample 345 application loading instance 81 managing instances 81 unloading instance 84 Application Display window 27 Application Manager exporting a normal entry unit of work 60 Image Quality Status, viewing 62 overview 25 starting 26 Archive Status dialog 91 information archived 91 generated 91 viewing 87 assigning permissions 152, 154 At end 36 ATM Adjustments File report 185 ATM reports description 184, 253 list of 253 printing 180 Audit Exceptions report 189 description 189 sample 348 Audit reports description 185 list of 185 audit reports 185 Audit Exceptions report 189 Full Audit report 186 ImageMark Audit report 186 auto-activities loading for report redirection 66 stopping and restarting 77 unloading for report redirection 65 Auto-Activity reports description 241 440 list of 407 auto-assign activity 29 Automatic Codeline Completion Statistics report sample 351 automatic file cleanup 291 automatic reports Entry Item reports 241 automatically print or save End-of-Cycle reports 165 B back-up Base AP system 298 non-Base AP system 299 Windows file systems 299 creating 299 requirements 299 Windows-based subsystems to tape 298–299 BAL (See Balancing) Balanced Item Export recovering from duplicate entry numbers 311 resending work 300 viewing work status 85 Balancing Grand Total Performance report 235 Operator Grand Total Performance report sample 404 Operator Performance Detail report 231 Operator Performance Summary report 228 sample 400 Balancing Operator Enhanced Performance Detail report description 238 BAP restoring 315 Base Application Processor (BAP) 104, 327 Batch Proof List report description 243 sample 410 BIE See also Balanced Item Export BIE Deadline report description 194 sample 353–356 BIE, EIE, and SIE Deadline reports description 194 Block Balancing Grand Total Performance report 236 Operator Performance Detail report 232 sample 401 Operator Performance Summary report 228 Operator Sessions Activity report sample 396 bottlenecks, identifying 31 ImageMark Transaction Manager 4.2 System Administration Index branch capture integration 93 identifying problems with 335 problems bank diverts work to another site 336 files not imported 335 no teller files from branch 336 no teller files to import 335 SMM imports duplicate file 336 SMM not matching UoW 335 SMM not picking up UoW 335 SMM running slowly 336 UoW held at SMM 335 resubmitting work 95 viewing second source images 96 Branch Rankings report sample 364–365 BTM Batches Aged Out report description 197 sample 364 BTM Batches Not Received report description 196 sample 360 BTM Branch Rankings report description 198 BTM reports description 196 list of 196 Bundle List report description 200 sample 369 C capacity settings 273 capture files (for Distributed Capture), cleaning up 290 Capture Reconciliation Audit Pocket Summary report description 251 sample 420 Capture Reconciliation Audit report description 249 sample 419 CAR auto-activity starting normal mode 334 starting shuffle mode 332 CAR Performance Summary report 343 description 216 sample 384 CAV Performance Summary report 343 description 216 sample 385 changing CPCS entry number for cycle 57 host entry number for a duplicate host entry (for Distributed Capture) 288 ImageMark Transaction Manager 4.2 System Administration server status 78 station attributes 114 station identification 114 station types 116 workstations 103 changing reporting periods 160 CLC (See Codeline Completion) cleaning up capture files (for Distributed Capture) 290 cleaning up files on the transports 291 cleanxprt.pl 291 cluster configuration administration tasks 292 Codeline Completion Grand Total Performance report 233 Operator Performance Detail report 230 Operator Performance Summary report 226 sample 398 Configuration Manager tasks adding parameter sets 133 parameter sets by station 138 software by package 128 software by station 131 station groups 108 workstations 103, 111 changing station attributes 114 station identification 114 station types 116 workstations 103 configuring software by package 128 software by station 131 stations 105 deleting workstations 103 identifying stations 112 modifying services 141 station groups 109 removing parameter sets 137 parameter sets by station 142 software by package 130 station groups 110 station software 132 stations 119 starting 104 switching EPUs or ESUs 117 configuring notification 325 software by package 128 by station 131 corrupt EIPS files on Data Server, replacing 287 CPCS entry number, changing 57 creating cycles 45 user accounts 148 441 Index cron jobs set stale date script 277 current error log filename 327 Cycle Manager 45 cycles about 45 adding a new cycle 45 changing CPCS entry number 57 closing 49 deadlines, managing 52 ending 50 managing 45 modifying 48 number field 83 opening 49 opening a new cycle 46 opening existing 47 posting date 24, 46–47, 49, 51 reasons for modifying 48 removing 47 reopening 50 state close 83 empty 83 open 83 validating (for Distributed Capture) 286 viewing SuperMICR job number information D Daily Corrections Export Reports list of 201 Daily Corrections Export reports description 201 Data Server (DS) configured with RSS 332 date/time setting 285 Delete Cycle marking operator performance data for deletion 170 deleting reports from spooler 68 user accounts 151 workgroups 147 workstations 103 Deposit Review Grand Total Performance report 236 Operator Grand Total Performance report sample 405 Operator Performance Detail report 232 sample 402 Operator Performance Summary report 229 Operator Sessions Activity report sample 397 442 58 Deposit Review Audit report description 192 sample 350 Deposit Review Non-Negotiable Items report sample 381 diagnostic alerts setting up for a server cluster 293 diagnostic alerts, setting up for a server cluster 293 Diagnostics acknowledging messages 323 configuring notification 325 printing alert messages 324 starting 318 viewing message details 321 displaying detailed operator information 32 invalid posting dates (for Distributed Capture) 287 Distributed Capture changing host entry number for a duplicate host entry 288 cleaning up capture files 290 integrating consolidation server 270 replacing corrupt EIPS files on Data Server 287 validating cycles 286 imdeletedates 286 imdisplaydates 287 imloaddates 286 domains security requirements 269 supporting 270 DRA 36 duplicate entry numbers, recovering from 311 E EBAL (See Expert Balancing) ECU Transport Performance report description 221 sample 392 EIE auto-activity, recovering lost entry 305 See also Encoded Item Export EIE Deadline report description 195 sample 357 EIE, BIE, and SIE Deadline reports description 194 eips_cleanup.pl 291 EIR See Entry Item reports See also reports, auto-activity reports EIR Deposit Corrections report description 246 EIR Deposit Review Host Results report ImageMark Transaction Manager 4.2 System Administration Index description 246 eirPrint 178 emergency recovery procedures 338 emergency logical log backup 338 recovering from system failure 339 End of Day Daily Corrections Export report 201 End-of-Cycle reports audit reports 185 descriptions 182 list of 182, 342 printing manually 166 end-of-cycle reports audit reports Audit Exceptions report 189 Full Audit report 186 ImageMark Audit report 186 entries, exporting 60 Entry Item reports about 241 description 241 list of 241 Entry Level Daily Corrections Export report 202 entry numbers, recovering from duplicates 311 Entry Summary report description 242 sample 408 environment variable changes implementing 77 EPU cleaning up files 291 switching stations 117 taking out of service 117 EPU Exception Item Reports list of 206 EPU Exception Item reports description 206 EPU Transport Performance Summary report description 222 EPU Transport Sessions Performance report description 222 sample 393 error log files 327 locating 327 sample messages from log file 328 viewing current day’s file 327 viewing log history files 327 error messages description of components 328 filtering 319 finding version numbers 331 help information 322 locating error message groupings 331 phoning for second-level support 331 reading error log file 330 reading message text 331 referencing other publications for additional help 331 severity codes 330 ImageMark Transaction Manager 4.2 System Administration viewing details 321 viewing history log files 330 ESU cleaning up files 291 switching stations 117 taking out of service 117 ESU Operator Matched Item Audit report description 252 ESU Pocket Total report description 251 sample 422 ESU Transport Performance Summary report description 223 ESU Transport Sessions Performance report description 223 sample 394 Exception Items in Kill Pocket report description 207 excluded servers 123 excluding a storage space 126 Expert Balancing Grand Total Performance report 235 Operator Performance Detail report 231 Operator Performance Summary report 228 Expert Block Balancing Grand Total Performance report 236 Operator Grand Total Performance report sample 403 Operator Performance Detail report 232 Operator Performance Summary report 228 Expert Link about 313 restarting 314 stopping 314 Export Log details 86 viewing 85–86 F failure of RSS 332 file printing to 68 recovery for IDT and TSS workstations files, cleaning up 291 filtering reports displayed in Print Spooler 66 workload displayed in Load dialog (Volume tab) 33 Work In Progress dialog 35–36 Forced Adjustment report description 208 sample 374 Free dialog 125 315 443 Index Free Storage Space dialog 124 freeing databases troubleshooting 326 storage space 124 error messages 326 when to 20 Full Audit report 186 G gen_prod.sql 274 Grand Total Performance report description 233 for Deposit Review 236 group reassigning a station for 74 restoring a station to 76 H handling error messages consulting second-level support 331 finding version numbers 331 locating error message groupings 331 reading message text 331 referencing other publications 331 viewing history log files 330 hardware order of powering down 258 order of powering on powering down 258 powering on 259 powering up 259 history error log filename 327 holding back work 39 host cycle number 300 field 51, 83 host entry number (CPCS), changing 57 host link restarting 313 See also Expert Link I identifying bottlenecks 444 31 stations 112 IDT backing up 312 restoring 312 IDT workstation file recovery 315 Image Quality Failure Detail report 209 sample 375 Image Quality Rejects, exporting 55 Image Quality Review Performance Summary report 224 sample 395 Image Quality Status, viewing 62 Image Quality Test Performance Summary report sample 376 Image Quality Transport Performance Summary report 210 sample 377 ImageMark package version monitoring 292 services, starting and stopping 295 ImageMark Audit report 186 description 186 sample 347 imdeletedates 286 imdisplaydates 287 imloaddates 286 importing Base AP databases 315 In Progress 36 IN/OUT workflow activity information 43 Incorrectly Matched Items report description 199 sample 367 Initialize dialog 123 Initialize Storage Space dialog 122 initializing databases troubleshooting 326 storage space 122 error messages 326 instance loading 81 managing 81 unloading 84 interactions components 43 viewing activities for 44 viewing by activities 43 workflow activity information 43 interpreting reports 159 intializing storage space conditions 20, 22 when to 22 why to 22 I-string resending using a different host cycle number Items Aged Out report description 211 210 300 ImageMark Transaction Manager 4.2 System Administration Index sample 378 Items Missing from BTM Batches Received Today report description 197 sample 362 Items Not Received report description 211 sample 379 Items Pull report description 212 sample 415 Items Pull report - High Dollar sample 380 Items Pull reports description 212 Items Reassigned from EPU Kill Pockets report description 245 sample 414 Items Received without BTM Batches Today report description 197 sample 363 J job number, viewing SuperMICR information 58 L Line printer 68 Load dialog Completion tab information Estimated completion time field 34 percent field 34 Total and Printed fields 34 Volume, UoW, and Time fields 34 identifying bottlenecks 31 Operators tab information Operator column 32 Rate column 32 Total field 32 queue color 31 Summary tab information Operators column 30 Optimal column 30 Printed column 30 Throughput column 30 Total column 30 Volume column 30 viewing 28 Volume tab filters entry number 33 parameters 33 ImageMark Transaction Manager 4.2 System Administration servers 33 Volume tab information Count row 33 Value row 33 loading activities 72, 77 application 82 application instance 81 auto-activities for report redirection 66 invalid dates (for Distributed Capture) 286 Low-Speed Items in High-Speed Pockets report description 248 sample 418 M managing access security 262 activities 71 application instances 81 cycles 45 print spooler 64 recognition 271 system access security accounts 262 system environment 260 user accounts 148 user workgroups 145 workload 28 workload by operator activity 28 workload by unit-of-work type 35 manual file cleanup 291 matched records, printing 181 Merchant Summary report description 207 messages acknowledging 323 filtering by date 319 station 319 time 320 type 319 viewing details 321 MIE auto-activity, recovering lost entry 309 MIE Exception report description 254 printing 254 sample 425 Misencode Detail report description 247 sample 416 Modified Entry report sample 349 Modified Entry report (CPCS) 445 Index description 191 Modified Entry Report (SuperMICR) description 191 modifying cycle attributes 51 cycle host entry number 51 cycle state 48 cycles, reasons for 48 entries 57 posting deadline 52 station groups 109 station services 141 system capacity settings 273 considerations for changing system capacity 273 user accounts 150 workgroups 146 monitoring SMM processing 93 Operator Performance reports description 221 list of 221, 391 printing manually 168 Operator Performance Summary report description 226 Operator Sessions Activity report description 225 operator statistics deleting 170 Operator Statistics reports description 225 Optional Field Completion Grand Total Performance report 233 Operator Performance Detail report 230 Operator Performance Summary report 226, 229 order for configuring components 105 organizational units about 261 output to printer list box 65 to spooler list box 65, 69 N Next Day BTM Batches Received report description 196 sample 361 Non-Negotiable Items report description 213 sample 381 normal entry unit of work exporting 60 P O Open Cycle Dialog 46 opening cycles 46 existing cycles 47 operator accounts changing 150 creating 148 deleting 151 managing 148 user ID 149 displaying detailed information about permissions assigning by activity 154 assigning by user 152 removing 156–157 Operator Performance Detail report description 230 for Deposit Review 232 446 32 parameter changes implementing 77 parameter sets adding 133 adding by station 138 notes on adding parameter sets 133 removing 137 removing by station 142 password settings 268 passwords 151 performing a restore of stations 315 perl script interpreter 260 permissions assigning by activity 154 assigning by user 152 removing 156–157 PIE auto-activity, recovering lost entry 307 Pocket Listing report description 213 sample 382 posting deadline 52 modifying 52 powering down system hardware 258 powering on system hardware 259 print spooler dialog 64 managing 64 redirecting reports ImageMark Transaction Manager 4.2 System Administration Index to printer 69 to spooler 64 printers adding 284 FILE 68 line 68 lpsiips 68 printing End-of-Cycle reports automatically 165 Entry Item reports, eirPrint 178 reports after end of cycle 174 reports before end of cycle 174 reports, about 159 Tray Set reports, tsrPrint 180 printing reports 68 priority changing for work 38 viewing 37–38 Processed Envelopes by Transaction Number Sequence report 185 Processed Envelopes in Posting Sequence report Putaway Transaction report description 253 sample 423 185 R Reassigned Pocket - ESU Operator Matched Item Audit report sample 421 reassigning a station for another group 74 recognition managing 271 restarting 271 unit self test utility 272 Recognition Performance Statistics CAR Performance Summary report 343 CAV Performance Summary report 343 RSS Performance Summary report 343 RSS Reclassification report 343 Recognition Performance Statistics reports description 215 list of 215 Recognition Sub-System See also RSS Reconciliation Operator reports description 237 recovering from system failure 339 redirecting reports to printer 69 to spooler 64 releasing held work 40 remote activity types 30, 35 ImageMark Transaction Manager 4.2 System Administration removing cycles 47 dates from invalid posting date listings (for Distributed Capture) 286 parameter sets 137 parameter sets by station 142 software by package 130 station groups 110 station software 132 stations 119 unused ImageMark-generated Windows accounts 262 user permissions 156–157 replacing corrupt EIPS files on Data Server (for Distributed Capture) 287 Report utility cancelling print jobs 173 saving reports 166, 168, 254 viewing print jobs 171 reporting periods changing 160 deleting statistics 170 reports about reporting periods 169 Adjustment Summary report 183, 344 Adjustment/Corrections report 244 Adjustments/Corrections report 411 All Items report 242, 409 Amount Keying Operator Performance Summary report 399 Amount Suspect Summary report 183, 345 ATM Adjustments File report 185 ATM reports 184 Audit Exceptions report 189 Auto-Activity reports 241, 407 Automatic Codeline Completion Statistics report 351 Balancing Operator Enhanced Performance Detail report 238 Balancing Operator Grand Total Performance report 404 Balancing Operator Performance Summary report 400 Batch Proof List report 243, 410 BIE Deadline Report 354 BIE Deadline report 194, 353 Block Balancing Operator Performance Detail report 401 Block Balancing Operator Sessions Activity report 396 Branch Rankings report 364–365 BTM Batches Aged Out report 197, 364 BTM Batches Not Received report 196, 360 BTM Branch Rankings report 198 Bundle List report 200, 369 Capture Reconciliation Audit Pocket Summary report 251, 420 Capture Reconciliation Audit report 249, 419 447 Index CAR Performance Summary report 216, 384 CAV Performance Summary report 216, 385 Codeline Completion Operator Performance Summary report 398 deleting from spooler 68 Deposit Review Operator Performance Detail report 402 Deposit Review Audit report 192, 350 Deposit Review Non-Negotiable Items report 381 Deposit Review Operator Grand Total Performance report 405 Deposit Review Operator Sessions Activity report 397 ECU Transport Performance report 221, 392 EIE Deadline report 195, 357 EIR Deposit Corrections report 246 EIR Deposit Review Host report 246 End of Day Daily Corrections Export report 201 End-of-Cycle reports 182, 342 Entry Level Daily Corrections Export report 202 Entry Summary report 242, 408 EPU Transport Performance Summary report 222 EPU Transport Sessions Performance report 222, 393 ESU Operator Matched Item Audit report 252 ESU Pocket Total report 251, 422 ESU Transport Performance Summary report 223 ESU Transport Sessions Performance report 223, 394 Expert Block Balancing Operator Grand Total Performance report 403 Forced Adjustment report 208, 374 Full Audit report 186 Grand Total Performance report 233 Image Quality Failure Detail report 209, 375 Image Quality Review Performance Summary report 224, 395 Image Quality Test Performance Summary report 210, 376 Image Quality Transport Performance Summary report 210, 377 ImageMark Audit report 186, 347 Incorrectly Matched Items report 199, 367 Items Aged Out report 211, 378 Items Missing from BTM Batches Received Today report 197, 362 Items Not Received report 211, 379 Items Pull report 212, 415 Items Pull report - High Dollar 380 Items Pull reports 246 description 246 Items Reassigned from EPU Kill Pockets report 245, 414 Items Received without BTM Batches Today report 197, 363 Low-Speed Items in High-Speed Pockets report 248, 418 Merchant Summary report 207 448 MIE Exception report 254, 425 printing 254 Misencode Detail report 247, 416 Modified Entry report 349 Modified Entry report (CPCS) 191 Modified Entry Report (SuperMICR) 191 Next Day BTM Batches Received report 196, 361 Non-Negotiable Items report 213, 381 Operator Performance Detail report 230 Operator Performance reports 221, 391 operator performance reports Grand Total Performance report for Deposit Review 236 Operator Performance Detail report for Deposit Review 232 for Optional Field Completion 232 Operator Performance Summary report for Deposit Review 229 for Optional Field Completion 229 Operator Performance Summary report 226 Operator Sessions Activity report 225 Pocket Listing report 213, 382 printing 68, 180 printing after end of cycle 174 printing automatically 165 printing before end of cycle 174 printing End-of-Cycle reports 166 printing Operator Performance reports 168 Processed Envelopes by Transaction Number Sequence report 185 Processed Envelopes in Posting Sequence report 185 Putaway Transaction report 253, 423 Reassigned Pocket - ESU Operator Matched Item Audit report 421 Recognition Performance Statistics reports RSS Performance Summary report description 215 redirecting to printer 69 to spool 64 regenerating 172 reporting periods, changing 160 Research Items - Exception Items in Kill Pocket report 207 Research Items - Exception items in Kill Pocket report 373 Resource Allocation report 240, 406 RIR Document Distribution report 218, 387 RSS Performance Summary report 215, 383 RSS Reclassification report 217, 386 saving automatically 165 Second Source Match and Merge Performance Summary report 219, 388 SIE Deadline report 195, 359 SMM Results report 246 Suspense Items in EPU Kill Pockets report 244, 412 ImageMark Transaction Manager 4.2 System Administration Index Suspense Items in EPU Reject Pocket report 413 245, Teller Keying Errors Detail report 199, 368 Teller Ranking report 198, 366 Truly Missing and Free report 219, 389 types of 159 Unmatched ATM Envelope report 184, 346 Unresolved Suspense Items report 206, 371–372 User Permission and Login Information report 220, 390 viewing 66 Reports utility starting 164 Research Items - Exception Items in Kill Pocket report description 207 sample 373 Resending a string using a different host cycle number 300 resending work to BIE 300 to SIE 300 resenditemexport utility 300 Resource Allocation report description 240 sample 406 restarting host link 313 RSS auto-activity 271 restoring station to original group 76 stations 315 RIR Document Distribution report 218 sample 387 RPT_FIELD_DEFNS related report 212 rptperiod.cfg file 163 rptperiod.cfg_sample file 160 RSS auto-activity managing 271 restarting 271 testing 272 responding to failure 332 See also Recognition Sub-System RSS Performance Summary report 343 description 215 sample 383 RSS Reclassification report 343 description 217 sample 386 S sample error log file messages 328 ImageMark Transaction Manager 4.2 System Administration saving reports to FILE 68 scheduled tasks capture file cleanup 290 sample 277 set stale date script 275, 278 setting up for regular environment 276 time-of-day environment 278 scheduled tasks, managing for a server cluster 296 Second Source browser software, configuring IDT 103 records, deleting old ones 56 viewing item images 96 Second Source Adjustment file 185 Second Source Match and Merge Performance Summary report description 219 sample 388 Second Source View dialog 93 customizing 95 security enhancements 121 security procedures 151 server cluster administration tasks 292 ImageMark package version monitoring 292 ImageMark services, starting and stopping 295 scheduled tasks, managing 296 setting up diagnostic alerts 293 Services dialog 75 Set Priority dialog 37–38, 40, 60, 63, 178, 301, 303, 305, 307, 309 set stale date script sample cron job 277 setting up a cron job 277 setting up a scheduled task 275 setting up a scheduled task for a time-of-day sort environment 278 setting priority type high 38 low 38 normal 38 severity codes of error messages 330 shuffle mode 332 shutting down activities 72, 77 Capture hardware 258 SIE auto-activity, recovering lost entry 303 See also Sub-pass Item Export SIE Deadline report description 195 sample 359 SIE, BIE, and EIE Deadline reports description 194 SMM auto-activity identifying problems with 335 449 Index disabling shuffle mode 96 enabling shuffle mode 95 monitoring processing 93 pushing work past 95 resubmitting work 95 viewing item images 96 SMM Results report description 246 ssreport.pl 180 starting Access Security Manager 144 Application Manager 26 Capture hardware (See powering on system hardware) Configuration Manager 104 Diagnostics 318 Reports utility 164 start-of-cycle archiving report files 18 checking system messages 19 cycles about associating 23 opening 23 ending cycles 21 exporting suspense items 16 freeing a storage space 21 initializing a storage space 22 printing reports 17 procedures 15 station groups 106 creating and modifying 103 modifying 109 removing 110 stations adding 111 adding parameter sets 138 changing attributes 114 changing identification 114 changing type 116 identifying 112 modifying services by 141 reassigning 74 reassigning for another group 74 removing 119 removing parameter sets 142 restoring 315 restoring to original group 76 software adding 131 adding by package 128 configuring by package 128 removing 132 removing by package 130 Stations dialog 74 statistics deleting 170 status, maintain activity information 65 storage space 450 about 20 conditions for freeing 124 freeing status 125 initialization status 123 making space on the system 20 options for utilizing 20 Storage Space Manager adding a user 121 storage space manager about 120 storage spaces excluding 126 freeing 21, 124 initializing 122 managing 120 monitoring state 127 Sub-Pass Item Export resending work 300 viewing work status 85 sub-type column 36 SuperMICR, viewing job number information 58 Suspense Items in EPU Kill Pockets report description 244 sample 412 Suspense Items in EPU Reject Pocket report description 245 sample 413 suspense items, exporting 55 switching EPUs or ESUs 117 system capacity settings modifying 273 viewing 273 environment, perl script interpreter 260 powering down 258 powering on 259 resetting date and time 285 shutting down 258 starting up 259 system changes making them take effect 77 system maintenance 257 access security 262 domain security requirements 269 password settings 268 supporting organizational units 269 T taking EPU out of service 117 taking ESU out of service 117 teller file about 93 Teller Keying Errors Detail report ImageMark Transaction Manager 4.2 System Administration Index description 199 sample 368 Teller Ranking report description 198 sample 366 testing RSS auto-activity 272 testru utility 272 TIFF files saving Advice Notices as 280 time-of-day sort posting deadline 52 setting up a set stale date scheduled task 278 Transport Performance Statistics reports description 222 Tray Set reports description 249 list of 249 troubleshooting activity fails spontaneously 337 emergency recovery 338 freeing storage spaces 326 handling error messages finding version numbers 331 locating error message groupings 331 phoning for second-level support 331 reading error log file 330 reading message text 331 referencing other publications for additional help 331 viewing history log files 330 initializing storage spaces 326 reports did not generate 172 RSS failure 332 Truly Missing and Free report description 219 sample 389 TSR See Tray Set reports See also reports, auto-activity reports tsrPrint 180 TSS backing up 312 restoring 312 TSS workstation file recovery 315 U unit-of-work interaction 36 sub-types all 36 batch 36 input processed 36 input ready 36 ImageMark Transaction Manager 4.2 System Administration output 36 transaction 36 types advice notice 36 DDR 36 DDR with Images 36 entry 35 tray 35 tray set 35 viewing Work In Progress 35 See also Work In Progress unit-of-work sub-types 36 unloading activities 73 application instance 84 auto-activities for report redirection 65 Unmatched ATM Envelope report 184 sample 346 Unresolved Suspense Items report description 206 sample 371–372 UoW See unit-of-work See also Work In Progress, unit-of-work types user accounts creating 148 deleting 151 managing 148 modifying 150 passwords 151 permissions 152 assigning by activity 154 assigning by user 152 removing 156–157 User Permission and Login Information report 220 sample 390 using Report utility cancelling print jobs 173 saving reports 166, 168, 254 viewing print jobs 171 using Reports utility starting utility 164 V validating cycles (for Distributed Capture) imdeletedates 286 imdisplaydates 287 imloaddates 286 version monitoring 292 viewing activities 71 activities for an interaction 44 286 451 Index archive status 91 export log details 86 external capture station status 79 load queues 31 message details 321 remote activities 30, 35 reports 66 server status 78 system capacity settings 273 workflow interactions 43 workload by operator activity 28 by unit-of-work type 35 W work holding back 39 releasing 40 Work In Progress dialog 35 changing work priority 38 displaying 35, 37–40, 93 holding back work 39 releasing held work 40 viewing specific type of work 35 unit-of-work sub-types 36 unit-of-work types 35 viewing 35, 39–40, 93 workflow diagrams 98 viewing activities for an interaction 44 interactions by activity 43 workgroups creating new groups 146 deleting 147 managing users in 145 modifying 146 workload managing by operator activity 28 managing by unit-of-work type 35 452 ImageMark Transaction Manager 4.2 System Administration B004-0000-0609 December 1, 2006